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BRO KOMMUNIKATION A/S — Credit Rating and Financial Key Figures

CVR number: 26406420
Esplanaden 34 C, 1263 København K
tel: 48240068
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit16 115.1215 349.4314 965.6715 404.0118 215.66
Employee benefit expenses-15 014.17-16 859.58-15 225.74-14 507.96-16 464.96
Total depreciation- 396.87- 309.20- 221.30- 160.88- 107.66
EBIT704.09-1 819.34- 481.37735.171 643.04
Other financial income0.690.910.470.39
Other financial expenses-19.91-60.12-99.65- 170.70- 148.57
Pre-tax profit684.87-1 879.47- 580.11564.941 494.86
Income taxes- 119.10-13.16-61.26
Net earnings565.77-1 892.63- 580.11564.941 433.60

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure98.0532.55
Intangible assets total98.0532.55
Buildings98.83212.45256.24179.67184.34
Machinery and equipment201.80149.99137.7865.4781.98
Tangible assets total300.63362.44394.02245.14266.31
Investments total416.68427.62471.27480.60490.13
Long term receivables total
Raw materials and consumables95.83102.78
Finished products/goods99.7799.23102.61
Inventories total99.7799.23102.6195.83102.78
Current trade debtors4 103.122 219.092 988.744 077.524 238.09
Current amounts owed by group member comp.91.03
Prepayments and accrued income189.56133.12300.02162.49276.09
Current other receivables5 664.961 982.331 203.791 207.4855.92
Current deferred tax assets13.16
Short term receivables total10 061.824 334.544 492.555 447.494 570.11
Cash and bank deposits3 793.772 541.9289.601 866.973 857.80
Cash and cash equivalents3 793.772 541.9289.601 866.973 857.80
Balance sheet total (assets)14 770.717 798.305 550.068 136.039 287.14

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00600.00600.00600.00
Shares repurchased1 000.00
Other reserves127.5762.0736.68
Retained earnings1 491.852 123.12655.88112.45677.39
Profit of the financial year565.77-1 892.63- 580.11564.941 433.60
Shareholders equity total3 685.19792.56712.451 277.392 710.99
Non-current owed to group member1 949.33
Non-current other liabilities3 686.51
Non-current deferred tax liabilities804.27
Non-current liabilities total3 686.51804.271 949.33
Current loans from credit institutions14.8321.79530.2741.4325.79
Advances received1 588.982 515.99312.95
Current trade creditors725.98381.91201.47585.35690.77
Current owed to group member766.821 984.61
Short-term deferred tax liabilities150.7861.26
Other non-interest bearing current liabilities8 604.95- 367.282 988.653 637.793 671.60
Accruals and deferred income644.73142.12
Current liabilities total11 085.523 319.224 033.344 909.316 576.14
Balance sheet total (liabilities)14 770.717 798.305 550.068 136.039 287.14
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