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KONGERSLEV BRUGSFORENING AMBA — Credit Rating and Financial Key Figures

CVR number: 52075114
Danmarksgade 21, 9293 Kongerslev
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales30 226.0030 024.0030 924.6129 947.8928 111.67
Other operating income101.72279.55222.61
Costs of manufacturing-23 275.25-22 339.76-20 567.28
External services-3 275.67-3 174.63-2 756.47
Gross profit5 069.004 361.004 475.424 713.055 010.53
Employee benefit expenses-5 001.08-5 042.80-4 912.58
Total depreciation- 595.06- 482.25- 468.04
EBIT- 102.00-1 017.00-1 120.73- 812.00- 370.09
Other financial income77.6456.3630.31
Other financial expenses-53.86-70.05-82.39
Net income from associates (fin.)-2.47-0.730.07
Pre-tax profit- 109.00- 833.00-1 099.42- 826.42- 422.10
Income taxes241.78181.5492.68
Net earnings- 109.00- 833.00- 857.64- 644.88- 329.43

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters7 820.137 667.017 506.44
Machinery and equipment1 566.121 470.371 213.33
Tangible assets total9 386.249 137.388 719.77
Participating interests164.38165.84165.71
Investments total17 323.0013 310.00164.38165.84165.71
Non-current loans receivable169.88169.88169.88
Long term receivables total169.88169.88169.88
Finished products/goods2 170.631 936.831 834.92
Inventories total2 170.631 936.831 834.92
Current trade debtors194.38145.31124.77
Current other receivables1 959.20828.28807.12
Current deferred tax assets0.470.561.17
Short term receivables total2 154.06974.15933.06
Other current investments46.4543.1941.65
Cash and bank deposits115.8975.7898.43
Cash and cash equivalents162.34118.97140.08
Balance sheet total (assets)17 323.0013 310.0014 207.5212 503.0511 963.41

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital8 753.007 927.00170.50170.50170.07
Retained earnings109.00833.007 760.126 902.486 257.60
Profit of the financial year- 109.00- 833.00- 857.64- 644.88- 329.43
Shareholders equity total8 753.007 927.007 072.986 428.116 098.25
Provisions395.19213.65120.97
Non-current loans from credit institutions2 439.622 267.302 089.82
Non-current liabilities total2 439.622 267.302 089.82
Current loans from credit institutions176.00176.00180.00
Current trade creditors3 483.552 947.422 981.93
Other non-interest bearing current liabilities640.19470.58492.44
Current liabilities total4 299.743 594.003 654.37
Balance sheet total (liabilities)8 753.007 927.0014 207.5212 503.0511 963.41
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