INDUSTRIGÅRDENS BOLIGINVEST A/S — Credit Rating and Financial Key Figures

CVR number: 25099184
Boulevarden 30, 9000 Aalborg
tel: 98157090
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit4 531.007 569.0011 234.4711 220.7211 743.80
Employee benefit expenses-1 583.00-1 386.00-1 262.79-1 464.02-1 439.22
Total depreciation-66.00-27.00-4.82
Reduction in value of non-current assets48 860.0036 957.00-18 931.85-13 860.05233.91
EBIT51 742.0043 113.00-8 960.18-4 103.3410 533.66
Other financial income2 999.0010 729.00861.808 087.4123 882.24
Other financial expenses-1 358.00-1 327.00-9 267.95-5 538.36-6 530.21
Net income from associates (fin.)144.00
Pre-tax profit53 527.0052 515.00-17 366.32-1 554.2827 885.69
Income taxes-11 776.00-11 523.003 592.63360.31-6 110.37
Net earnings41 751.0040 992.00-13 773.69-1 193.9821 775.32

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings283 548.00321 587.00320 012.05305 052.00302 423.54
Machinery and equipment27.0038.55
Tangible assets total283 575.00321 587.00320 012.05305 052.00302 462.09
Investments total
Long term receivables total
Inventories total
Current trade debtors51.0013.0032.38182.023.92
Current amounts owed by group member comp.3 261.005 843.005 770.16
Current other receivables10 000.001 266.007 488.915 634.854 144.81
Short term receivables total13 312.007 122.0013 291.455 816.864 148.73
Other current investments37 045.0057 177.0038 951.1246 247.3876 348.16
Cash and bank deposits8 895.005 246.002 296.745 413.10166.16
Cash and cash equivalents45 940.0062 423.0041 247.8651 660.4876 514.33
Balance sheet total (assets)342 827.00391 132.00374 551.35362 529.34383 125.14

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital546.00546.00546.31546.31546.31
Shares repurchased500.0053 697.63500.00300.00
Other reserves-1 434.00952.008 694.116 837.545 962.07
Retained earnings134 287.00176 038.00163 331.95149 058.26147 564.29
Profit of the financial year41 751.0040 992.00-13 773.69-1 193.9821 775.32
Shareholders equity total175 650.00218 528.00212 496.32155 748.14176 147.98
Provisions33 645.0041 889.0038 160.1035 342.2535 603.73
Non-current loans from credit institutions115 323.00113 674.00112 329.05111 140.34108 985.08
Non-current other liabilities5 696.00
Non-current liabilities total121 019.00113 674.00112 329.05111 140.34108 985.08
Current loans from credit institutions1 695.001 695.001 427.061 312.653 752.04
Advances received381.72
Current trade creditors4 239.005 474.004 266.624 813.104 472.24
Current owed to group member192.00111.001 277.6650 304.1246 322.23
Short-term deferred tax liabilities1 736.003 952.002 208.381 577.715 537.10
Other non-interest bearing current liabilities4 651.005 809.002 004.422 291.032 304.75
Current liabilities total12 513.0017 041.0011 565.8860 298.6162 388.35
Balance sheet total (liabilities)342 827.00391 132.00374 551.35362 529.34383 125.14
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