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MAIBOM SKO A/S — Credit Rating and Financial Key Figures

CVR number: 83028912
Viby Ringvej 10, 8260 Viby J
maren.nergaard@eurosko.com
tel: 86260999
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit8 336.476 457.095 319.495 250.825 318.00
Employee benefit expenses-5 738.96-5 930.58-5 848.54-5 478.59-6 692.13
Other operating expenses- 143.29-85.33
Total depreciation- 187.53- 158.62- 123.58- 122.36-50.57
EBIT2 409.99367.89- 795.92- 435.46-1 424.70
Other financial income0.3645.9381.6516.27
Other financial expenses- 302.31-1 538.16- 816.82- 496.69-68.64
Net income from associates (fin.)48.59-2.8147.2728.88475.66
Pre-tax profit2 156.63-1 127.14-1 483.83- 886.99-1 017.68
Income taxes- 570.69125.22-1 160.900.6226.75
Net earnings1 585.94-1 001.92-2 644.73- 886.37- 990.93

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings324.50
Machinery and equipment165.87295.12172.76122.19
Tangible assets total324.50165.87295.12172.76122.19
Holdings in group member companies289.56218.40407.79396.19
Participating interests15.0015.0015.0015.0015.00
Investments total1 052.071 000.791 247.491 265.20906.17
Long term receivables total
Finished products/goods8 425.2510 178.628 638.669 499.133 530.75
Inventories total8 425.2510 178.628 638.669 499.133 530.75
Current trade debtors632.48620.84721.70620.77346.76
Current amounts owed by group member comp.3 703.13263.20213.6790.21
Prepayments and accrued income81.5891.68
Current other receivables20.4529.3413.162.172.34
Current deferred tax assets1 189.541 290.0422.250.6226.75
Short term receivables total5 545.602 203.411 052.35805.44375.85
Cash and bank deposits2 034.042 487.081 784.80926.522 242.98
Cash and cash equivalents2 034.042 487.081 784.80926.522 242.98
Balance sheet total (assets)17 381.4516 035.7713 018.4112 669.057 177.95

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital1 005.001 005.001 005.001 005.001 005.00
Share premium account7 995.007 995.007 995.007 995.007 995.00
Retained earnings-9 618.37-8 032.43-4 534.35-7 179.08-8 065.45
Profit of the financial year1 585.94-1 001.92-2 644.73- 886.37- 990.93
Shareholders equity total967.57-34.351 820.92934.55-56.38
Non-current other liabilities517.49
Non-current deferred tax liabilities534.30553.00570.15591.24
Non-current liabilities total517.49534.30553.00570.15591.24
Current trade creditors83.50155.78126.92242.90143.45
Current owed to group member13 384.1313 812.189 007.189 968.393 163.02
Other non-interest bearing current liabilities2 428.751 567.861 510.40953.073 336.61
Accruals and deferred income0.00
Current liabilities total15 896.3915 535.8210 644.4911 164.356 643.08
Balance sheet total (liabilities)17 381.4516 035.7713 018.4112 669.057 177.95
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