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FOCUS MODULER A/S — Credit Rating and Financial Key Figures

CVR number: 34472246
Vandværksvej 42, Assentoft 8960 Randers SØ
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit22 865.8827 426.5048 322.8453 636.5760 759.55
Employee benefit expenses-5 108.24-7 038.21-19 959.39-24 015.84-24 208.26
Other operating expenses-15.46-5.94-19.38
Total depreciation-12 766.44-12 746.52-17 333.04-18 512.49-30 946.67
EBIT4 991.197 641.7611 014.9511 102.305 585.24
Other financial income129.09198.7439.981.19197.27
Other financial expenses-1 082.06-1 234.82-1 968.38-2 582.59-2 467.85
Pre-tax profit4 038.226 605.689 086.558 520.893 314.66
Income taxes- 303.97-1 488.24-1 649.84-1 716.05- 870.35
Net earnings3 734.255 117.437 436.726 804.842 444.31

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings72 033.13
Machinery and equipment574.0582 435.2083 882.0283 464.9383 512.47
Tangible assets total72 607.1982 435.2083 882.0283 464.9383 512.47
Investments total
Long term receivables total
Semifinished products7 392.8412 776.063 920.1814 322.473 495.49
Raw materials and consumables3 781.312 958.523 408.735 754.934 645.41
Finished products/goods1 144.00892.34
Inventories total12 318.1416 626.927 328.9120 077.408 140.90
Current trade debtors5 704.4211 142.768 590.8413 016.2510 822.18
Current amounts owed by group member comp.4 086.672 223.68557.05856.583 403.07
Prepayments and accrued income67.7631.50153.43
Current other receivables667.41245.16
Short term receivables total9 791.0914 033.869 460.8213 904.3314 378.69
Balance sheet total (assets)94 716.42113 095.98100 671.74117 446.66106 032.06

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased5 000.003 000.004 000.005 000.00
Retained earnings18 046.0018 780.2519 897.6822 334.4029 139.24
Profit of the financial year3 734.255 117.437 436.726 804.842 444.31
Shareholders equity total27 280.2527 397.6831 834.4034 639.2432 083.55
Provisions10 511.6313 646.7413 166.9314 978.9012 719.18
Non-current loans from credit institutions16 780.7424 821.2918 191.9017 635.7623 565.12
Non-current leasing loans5 865.873 844.695 353.473 615.382 910.37
Non-current other liabilities321.19
Non-current deferred tax liabilities1 262.531 134.47543.07673.77
Non-current liabilities total22 967.7929 928.5124 679.8421 794.2127 149.26
Current loans from credit institutions19 088.1715 469.2016 802.7719 358.9110 103.56
Advances received957.941 000.008 797.671 005.00
Current trade creditors8 873.2822 324.697 833.897 779.628 024.19
Current owed to group member3 223.402 828.591 186.843 047.676 264.42
Short-term deferred tax liabilities307.27307.27814.953 399.005 769.37
Other non-interest bearing current liabilities1 506.691 193.293 352.143 425.842 913.52
Accruals and deferred income225.60
Current liabilities total33 956.7542 123.0430 990.5846 034.3134 080.06
Balance sheet total (liabilities)94 716.42113 095.98100 671.74117 446.66106 032.06
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