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LINDEN INVEST BERLIN A/S — Credit Rating and Financial Key Figures

CVR number: 29520771
Kongelysvej 11, 2820 Gentofte
info@danskforvaltning.dk
tel: 39306088
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit3 190.143 030.85986.771 583.29- 599.18
Employee benefit expenses- 221.67- 261.34- 231.50- 306.42- 303.24
Reduction in value of non-current assets9 587.2612 191.836 903.26-3 184.448 213.56
EBIT12 555.7214 961.347 658.53-1 907.567 311.14
Other financial income158.00140.75279.24288.01
Other financial expenses-1 315.63-1 178.70-1 909.25-3 056.94-2 902.10
Net income from associates (fin.)6 756.1714 876.62339.532 881.27-3 931.69
Pre-tax profit18 154.2628 800.026 088.81-1 803.98765.36
Income taxes-1 017.60-1 581.91- 723.14385.60-1 043.07
Net earnings17 136.6627 218.115 365.66-1 418.38- 277.71

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings151 290.72158 707.70151 250.45143 194.64131 318.41
Tangible assets total151 290.72158 707.70151 250.45143 194.64131 318.41
Holdings in group member companies34 200.7243 677.3538 616.8841 498.1532 166.46
Investments total34 200.7243 677.3538 616.8841 498.1532 166.46
Long term receivables total
Inventories total
Current trade debtors98.77723.59957.81713.0151.86
Current amounts owed by group member comp.3 790.172 706.751 165.0152.92
Prepayments and accrued income22.3822.38
Current other receivables38.2823.4228.802 217.085 121.82
Current deferred tax assets1 817.811 570.23688.01
Short term receivables total5 745.032 339.623 715.754 783.105 226.60
Cash and bank deposits1 485.562 187.566 063.092 147.244 307.47
Cash and cash equivalents1 485.562 187.566 063.092 147.244 307.47
Balance sheet total (assets)192 722.03206 912.22199 646.17191 623.13173 018.95

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital60 000.0060 000.0060 000.0060 000.0060 000.00
Shares repurchased12 000.006 000.006 000.0015 000.004 800.00
Other reserves7 200.7216 677.3511 616.8814 498.155 166.46
Retained earnings15 880.3017 540.3443 818.9231 303.3134 416.62
Profit of the financial year17 136.6627 218.115 365.66-1 418.38- 277.71
Shareholders equity total112 217.69127 435.80126 801.46119 383.08104 105.37
Provisions13 825.0015 277.0014 930.0013 929.0012 916.90
Non-current loans from credit institutions48 675.6148 121.6852 544.7152 552.1949 050.29
Non-current other liabilities11.66
Non-current liabilities total48 687.2848 121.6852 544.7152 552.1949 050.29
Current loans from credit institutions4 147.424 434.02
Advances received240.00492.27601.35185.12174.21
Current trade creditors61.1364.7587.131 862.6464.75
Current owed to participating17.608.9669.73
Current owed to group member1 425.41
Short-term deferred tax liabilities903.2881.31
Other non-interest bearing current liabilities13 525.919 652.333 778.243 711.106 556.38
Current liabilities total17 992.0616 077.755 370.005 758.866 946.38
Balance sheet total (liabilities)192 722.03206 912.22199 646.17191 623.13173 018.95
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