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LAUGE PEDERSEN INVEST ApS — Credit Rating and Financial Key Figures

CVR number: 31055857
Røgen Hedevej 4 B, Røgen 8472 Sporup
lauge@lpiejendomme.dk
tel: 30347002
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit- 631.14- 412.13- 384.65- 301.13- 123.82
Employee benefit expenses- 390.15- 365.52- 342.21- 526.09-1 020.84
Total depreciation-66.65-52.89-43.48-31.69-94.12
EBIT-1 087.94- 830.54- 770.35- 858.91-1 238.78
Other financial income787.78574.41812.39761.14287.39
Other financial expenses-58.44-86.22-33.42-7.40- 587.83
Net income from associates (fin.)4 631.50726.74594.091 213.641 923.82
Pre-tax profit4 272.91384.38602.701 108.46384.60
Income taxes3.1163.80-14.4312.00341.58
Net earnings4 276.02448.18588.271 120.46726.18

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters3 326.633 296.273 265.913 254.806 421.66
Machinery and equipment186.9814.451.33157.57
Tangible assets total3 513.613 310.723 267.243 254.806 579.23
Holdings in group member companies8 497.559 224.299 818.3711 032.0112 955.83
Investments total8 497.559 224.299 818.3711 032.0112 955.83
Non-current other receivables322.87
Long term receivables total322.87
Finished products/goods325.95325.95325.95325.95325.95
Inventories total325.95325.95325.95325.95325.95
Current amounts owed by group member comp.3 739.205 682.255 823.633 667.253 247.20
Current other receivables159.9659.32100.893 256.2550.53
Current deferred tax assets268.47254.94307.91276.98487.76
Short term receivables total4 167.635 996.506 232.437 200.483 785.49
Other current investments2 444.373 982.134 370.043 603.782 432.26
Cash and bank deposits8 552.901 641.47705.6387.13
Cash and cash equivalents10 997.275 623.605 075.673 690.912 432.26
Balance sheet total (assets)27 824.8824 481.0624 719.6625 504.1626 078.77

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital125.00125.00125.00125.00125.00
Shares repurchased2 000.0057.20400.00500.00150.00
Other reserves7 877.558 604.299 198.3710 412.0111 335.83
Retained earnings11 340.7114 832.8013 986.8912 861.5212 908.17
Profit of the financial year4 276.02448.18588.271 120.46726.18
Shareholders equity total25 619.2824 067.4724 298.5325 019.0025 245.18
Non-current loans from credit institutions1 593.81
Non-current deferred tax liabilities205.0380.07160.12131.03
Non-current liabilities total1 798.8480.07160.12131.03
Current loans from credit institutions128.77
Current trade creditors31.0041.72
Current owed to participating3.309.688.4515.8318.66
Current owed to group member328.81
Short-term deferred tax liabilities227.16238.85129.11205.58179.96
Other non-interest bearing current liabilities176.2985.00123.4493.22135.47
Accruals and deferred income8.500.20
Current liabilities total406.76333.53261.00354.13833.59
Balance sheet total (liabilities)27 824.8824 481.0624 719.6625 504.1626 078.77
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