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Presto Denmark ApS — Credit Rating and Financial Key Figures

CVR number: 31494362
Rosenkæret 13, 2860 Søborg
info@presto.dk
tel: 70828300
www.presto.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit3 584.254 628.298 763.3310 882.3226 495.89
Employee benefit expenses-1 447.08-1 578.30-1 863.46-15 315.12-31 762.21
Total depreciation-7 707.30-9 167.11
EBIT2 137.183 049.996 899.88-12 140.10-14 433.43
Other financial income63.3129.71162.042.71
Other financial expenses-35.49- 150.74-0.64-5 076.37-6 220.16
Pre-tax profit2 165.002 899.246 928.95-17 054.43-20 650.87
Income taxes- 486.75- 633.07-1 526.282 122.752 375.60
Net earnings1 678.242 266.175 402.67-14 931.68-18 275.27

Assets (kDKK)

2021
2022
2023
2024
2025
Goodwill68 265.3874 521.94
Intangible assets total68 265.3874 521.94
Machinery and equipment94.17111.97
Tangible assets total94.17111.97
Holdings in group member companies19 325.4229 054.71
Investments total26.2426.2428.9519 716.9529 679.12
Long term receivables total
Finished products/goods198.261 290.771 898.286 740.464 131.78
Inventories total198.261 290.771 898.286 740.464 131.78
Current trade debtors281.14724.071 914.948 988.7510 651.78
Current amounts owed by group member comp.153.03254.34
Prepayments and accrued income7.78174.31866.74
Current other receivables3.21158.6119.81
Current deferred tax assets299.45393.04371.602 553.523 774.49
Short term receivables total733.621 117.112 297.5211 875.2015 567.16
Other current investments822.0324.23
Cash and bank deposits4 126.315 806.146 734.688 000.974 760.10
Cash and cash equivalents4 948.345 806.146 734.688 025.194 760.10
Balance sheet total (assets)5 906.468 240.2510 959.43114 717.36128 772.06

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital125.00125.00125.00126.00126.00
Shares repurchased1 500.002 200.00
Retained earnings- 199.16- 720.911 545.266 033.4438 111.82
Profit of the financial year1 678.242 266.175 402.67-14 931.68-18 275.27
Shareholders equity total3 104.093 870.267 072.93-8 772.2419 962.55
Non-current loans from credit institutions10 125.00
Non-current owed to group member67 226.37
Non-current deferred tax liabilities6 000.00
Non-current liabilities total83 351.37
Current loans from credit institutions2 500.00
Advances received1 361.141 786.541 689.096 150.245 933.98
Current trade creditors276.86916.11314.253 478.067 859.67
Current owed to group member185.84107 776.751 274.49
Short-term deferred tax liabilities543.05726.661 070.84306.77160.50
Other non-interest bearing current liabilities621.33754.84812.325 777.777 055.74
Accruals and deferred income673.76
Current liabilities total2 802.384 370.003 886.50123 489.6025 458.14
Balance sheet total (liabilities)5 906.468 240.2510 959.43114 717.36128 772.06
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