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Stiesdal Hydrogen A/S — Credit Rating and Financial Key Figures

CVR number: 41828692
Vejlevej 270, 7323 Give
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit-2 156.00- 620.00-20 125.18-35 466.21-29 762.86
Employee benefit expenses-2 444.00-10 831.00-21 524.54-28 738.38-38 626.31
Total depreciation-5.00-24.81-52.22- 594.21
EBIT-4 600.00-11 456.00-41 674.53-64 256.81-68 983.38
Other financial income18.00169.32925.96811.71
Other financial expenses- 377.00-1 364.00-8 099.35-10 792.78-3 804.68
Pre-tax profit-4 977.00-12 802.00-49 604.56-74 123.63-71 976.35
Income taxes2 306.005 868.0011 904.7716 913.123 942.23
Net earnings-2 671.00-6 934.00-37 699.79-57 210.51-68 034.12

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure18 364.0064 594.00121 674.09157 471.28196 486.25
Intangible rights831.25
Intangible assets total18 364.0064 594.00121 674.09157 471.28197 317.50
Buildings4 802.26
Machinery and equipment37.00111.5884.27681.77
Advance payments and construction in progress6 935.865 335.86
Tangible assets total37.007 047.445 420.135 484.03
Investments total81.18130.12146.12
Long term receivables total
Semifinished products8 628.0031 262.3837 055.1218 663.93
Raw materials and consumables8 898.56
Advance payments5 420.8414 404.649 985.31
Inventories total8 628.0036 683.2351 459.7637 547.80
Current trade debtors516.00718.448 216.951 700.86
Current amounts owed by group member comp.180.72
Prepayments and accrued income996.00510.003 349.4895.75316.39
Current other receivables2 271.004 360.0015 116.74709.704 262.30
Current deferred tax assets2 306.007 556.0018 042.3928 754.6726 609.76
Short term receivables total5 573.0012 942.0037 227.0437 777.0733 070.02
Cash and bank deposits29 712.005 362.0010 980.9541 542.9836 263.79
Cash and cash equivalents29 712.005 362.0010 980.9541 542.9836 263.79
Balance sheet total (assets)53 649.0091 563.00213 693.93293 801.34309 829.26

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital1 000.001 000.001 000.001 000.001 000.00
Other reserves17 556.0060 947.0094 905.79122 827.60153 259.28
Retained earnings21 944.00-24 118.0034 988.87178 167.2790 525.09
Profit of the financial year-2 671.00-6 934.00-37 699.79-57 210.51-68 034.12
Shareholders equity total37 829.0030 895.0093 194.87244 784.36176 750.25
Provisions4 100.003 464.25
Non-current accruals and deferred income6 024.436 905.727 515.53
Non-current liabilities total6 024.436 905.727 515.53
Current trade creditors3 261.006 310.008 118.679 186.991 630.05
Current owed to group member12 138.0053 522.0098 629.819 058.62100 506.83
Other non-interest bearing current liabilities421.00836.001 563.891 594.591 642.84
Accruals and deferred income2 062.2622 271.0518 319.52
Current liabilities total15 820.0060 668.00110 374.6342 111.26122 099.23
Balance sheet total (liabilities)53 649.0091 563.00213 693.93293 801.34309 829.26
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