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HEDEBOGÅRD A/S — Credit Rating and Financial Key Figures

CVR number: 12478291
Vangeleddet 57, 2670 Greve
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit3 590.623 147.974 038.982 500.791 261.19
Wages and salaries-2 409.67-2 238.30-2 432.32-2 094.74-1 615.73
Social security expenses- 150.60- 158.32- 158.47-78.76-79.78
Total depreciation- 160.80- 169.46- 166.88-88.07-65.51
EBIT869.56581.891 281.32239.22- 499.84
Other financial income2.21
Other financial expenses-36.02-21.32-45.89-45.41-0.01
Pre-tax profit804.83527.191 235.42146.93- 543.21
Income taxes- 177.21- 120.92- 283.93-34.270.61
Net earnings627.62406.27951.49112.66- 542.60

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings56.6940.0323.366.701.35
Machinery and equipment715.24626.95538.93467.53407.37
Tangible assets total771.93666.98562.29474.23408.72
Investments total
Long term receivables total
Finished products/goods2 001.152 519.452 214.772 488.251 908.51
Inventories total2 001.152 519.452 214.772 488.251 908.51
Current trade debtors1 419.90718.061 889.39479.21178.84
Prepayments and accrued income98.73
Current other receivables8.57131.40
Current deferred tax assets90.99
Short term receivables total1 519.45718.062 020.79479.21277.57
Cash and bank deposits159.21345.59638.69687.531 051.93
Cash and cash equivalents159.21345.59638.69687.531 051.93
Balance sheet total (assets)4 451.754 250.085 436.544 129.213 646.73

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased800.00400.00950.00100.00
Retained earnings- 595.36- 367.74- 911.47-59.9852.69
Profit of the financial year627.62406.27951.49112.66- 542.60
Shareholders equity total1 332.26938.531 490.02652.6910.08
Provisions57.1847.4235.22
Non-current deferred tax liabilities130.68296.1231.63
Non-current liabilities total130.68296.1231.63
Current loans from credit institutions481.19
Current trade creditors726.79645.60304.40214.06621.42
Current owed to participating2 294.662 294.66
Current owed to group member1 248.571 870.82581.86479.19
Other non-interest bearing current liabilities605.76617.043 310.77209.58241.39
Current liabilities total3 062.313 133.453 615.173 300.153 636.65
Balance sheet total (liabilities)4 451.754 250.085 436.543 984.473 646.73
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