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DANSK PORTINDUSTRI A/S — Credit Rating and Financial Key Figures

CVR number: 31575915
Ambolten 43, 6000 Kolding
tel: 70224601
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit20 018.0024 517.0031 606.0037 533.0041 278.02
Employee benefit expenses-15 102.00-19 882.00-28 065.00-34 914.00-37 639.93
Other operating expenses-18.00
Total depreciation- 616.00- 935.00-1 019.00- 731.00- 617.16
EBIT4 300.003 700.002 522.001 870.003 020.93
Other financial income107.0056.00103.00102.00103.42
Other financial expenses-57.00-86.00- 335.00- 444.00- 367.16
Pre-tax profit4 350.003 670.002 290.001 528.002 757.18
Income taxes- 960.00- 822.00- 528.00- 347.00- 614.97
Net earnings3 390.002 848.001 762.001 181.002 142.21

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights211.00140.0056.000.33
Goodwill24.0010.00
Intangible assets total24.00221.00140.0056.000.33
Buildings10.008.0022.63
Machinery and equipment2 616.002 308.001 830.001 370.00745.58
Tangible assets total2 616.002 308.001 840.001 378.00768.21
Investments total53.0090.00
Non-current other receivables45.0045.0045.00
Long term receivables total45.0045.0045.00
Finished products/goods2 924.003 678.004 612.006 304.007 587.39
Inventories total2 924.003 678.004 612.006 304.007 587.39
Current trade debtors8 064.007 951.0010 783.0011 813.0016 196.66
Current amounts owed by group member comp.39.0037.00203.00216.66
Prepayments and accrued income565.00815.00886.001 178.001 017.55
Current other receivables1 576.004 051.003 754.004 936.004 639.97
Short term receivables total10 205.0012 856.0015 460.0018 130.0022 070.85
Cash and bank deposits1 696.0013.008.0027.0055.94
Cash and cash equivalents1 696.0013.008.0027.0055.94
Balance sheet total (assets)17 510.0019 121.0022 105.0025 948.0030 572.72

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased2 000.001 500.001 000.002 350.00
Other reserves- 350.00
Retained earnings1 325.003 215.005 063.006 825.005 656.35
Profit of the financial year3 390.002 848.001 762.001 181.002 142.21
Shareholders equity total7 215.008 063.008 325.008 506.0010 298.56
Provisions346.00526.00407.00430.00335.82
Non-current deferred tax liabilities836.00573.00528.00324.00709.26
Non-current liabilities total836.00573.00528.00324.00709.26
Current loans from credit institutions3 193.003 136.007 068.007 286.11
Advances received153.00
Current trade creditors2 883.003 248.003 264.004 413.004 400.58
Current owed to group member1.00
Other non-interest bearing current liabilities6 229.003 473.006 390.005 054.006 243.55
Accruals and deferred income45.0055.001 298.84
Current liabilities total9 113.009 959.0012 845.0016 688.0019 229.08
Balance sheet total (liabilities)17 510.0019 121.0022 105.0025 948.0030 572.72
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