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Hans Ibsen Invest ApS — Credit Rating and Financial Key Figures

CVR number: 26239753
Nørregade 73, Balling 7860 Spøttrup
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit-77.41- 915.25-94.27- 219.60- 231.12
Employee benefit expenses- 360.38- 465.77- 730.77
EBIT-77.41- 915.25- 454.65- 685.37- 961.89
Other financial income1 965.796 453.505 437.8410 577.757 771.36
Other financial expenses-98.29-13 207.72- 932.86- 617.84-5 626.48
Reduction non-current investment assets57.68
Income from other inv. held as non-curr. assets301.9327.61
Net income from associates (fin.)53 127.2622 281.6131 109.1212 391.21-2 972.24
Pre-tax profit54 975.0214 914.0735 159.4521 665.75-1 761.64
Income taxes- 385.531 939.55- 957.88-2 129.82- 274.43
Net earnings54 589.4916 853.6234 201.5619 535.93-2 036.07

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters640.4111 891.99
Tangible assets total640.4111 891.99
Holdings in group member companies17 557.843 832.206 919.943 198.61
Participating interests28 294.0126 761.3255 772.7157 551.1957 050.27
Investments total28 294.0144 319.1659 604.9264 471.1260 248.88
Non-current loans receivable2 857.6857.6857.68
Long term receivables total2 857.6857.6857.68
Inventories total
Current amounts owed by group member comp.10.00756.252 455.712 530.40
Current owed by particip. interest comp.3 667.435 308.05892.405 254.995 960.09
Current other receivables18 809.953 767.193 578.573 670.743 790.88
Current deferred tax assets151.593 156.001 121.70667.47
Short term receivables total22 638.9712 987.488 048.3811 456.1310 418.44
Other current investments11 739.3666 390.5780 374.9890 081.7391 184.45
Cash and bank deposits65 205.5723 897.3823 796.9919 706.615 188.29
Cash and cash equivalents76 944.9390 287.94104 171.98109 788.3496 372.73
Balance sheet total (assets)130 735.58147 652.27171 882.95186 356.01178 932.05

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital140.09140.09140.09140.09140.09
Shares repurchased10 000.006 000.005 600.005 000.00
Other reserves24 714.3323 304.5534 467.8820 607.4926 179.73
Retained earnings50 906.6997 349.5197 039.80139 501.74148 465.44
Profit of the financial year54 589.4916 853.6234 201.5619 535.93-2 036.07
Shareholders equity total130 350.60147 647.77171 849.33185 385.26177 749.19
Non-current liabilities total
Current loans from credit institutions5.02
Current owed to participating0.13
Current owed to group member923.07
Short-term deferred tax liabilities380.35901.35
Other non-interest bearing current liabilities4.504.5033.6269.40254.77
Current liabilities total384.984.5033.62970.751 182.86
Balance sheet total (liabilities)130 735.58147 652.27171 882.95186 356.01178 932.05
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