JA-PECUNIA ApS — Credit Rating and Financial Key Figures

CVR number: 28843038
Granvænget 8, 2690 Karlslunde
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit- 419.00- 606.00- 383.49- 420.93- 213.96
Total depreciation-69.00-77.00- 184.86- 210.43- 206.91
EBIT- 488.00- 683.00- 568.35- 631.37- 420.88
Other financial income3 955.003 958.001 417.061 392.922 790.96
Other financial expenses- 361.00- 536.00-5 502.20-5 718.63- 920.71
Net income from associates (fin.)-2 000.0017 378.42
Pre-tax profit3 106.002 739.00-6 653.4912 421.351 449.37
Income taxes212.00- 123.00-85.57
Net earnings3 318.002 616.00-6 739.0612 421.351 449.37

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters35 584.0040 023.0040 243.6540 111.8239 958.58
Machinery and equipment52.0031.00187.34184.70131.02
Tangible assets total35 636.0040 054.0040 430.9840 296.5240 089.60
Participating interests12 623.0020 418.0019 943.484 750.002 450.00
Investments total12 623.0020 418.0019 943.484 750.002 450.00
Non-current loans receivable15 817.0018 687.006 573.916 372.866 865.19
Non-current other receivables2 717.001 806.001 036.003 235.462 310.88
Long term receivables total18 534.0020 493.007 609.919 608.319 176.07
Finished products/goods495.00448.00284.32284.32360.10
Inventories total495.00448.00284.32284.32360.10
Current trade debtors53.00
Current owed by particip. interest comp.13 183.007 840.004 925.59
Current other receivables1 190.001 383.00660.9418 630.2425 816.56
Current deferred tax assets212.00102.0044.692.407.38
Short term receivables total14 638.009 325.005 631.2218 632.6525 823.94
Cash and bank deposits70.0096.001 586.99356.21121.71
Cash and cash equivalents70.0096.001 586.99356.21121.71
Balance sheet total (assets)81 996.0090 834.0075 486.9173 928.0178 021.42

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00125.00
Retained earnings43 645.0046 963.0049 578.3242 839.2655 260.60
Profit of the financial year3 318.002 616.00-6 739.0612 421.351 449.37
Shareholders equity total47 088.0049 704.0042 964.2655 385.6056 834.97
Non-current loans from credit institutions17 250.0016 576.0015 903.8215 388.1014 934.47
Non-current liabilities total17 250.0016 576.0015 903.8215 388.1014 934.47
Current loans from credit institutions676.002 277.00673.94515.72491.31
Current trade creditors165.0092.50107.50
Current owed to participating1 689.003 745.003 808.992 524.872 369.12
Other non-interest bearing current liabilities15 293.0018 367.0012 135.9021.223 284.05
Current liabilities total17 658.0024 554.0016 618.833 154.316 251.99
Balance sheet total (liabilities)81 996.0090 834.0075 486.9173 928.0178 021.42
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