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GLADE GROENSAGER 1 A/S — Credit Rating and Financial Key Figures

CVR number: 27924212
Søndergade 61, 5450 Otterup
mk@gladegroensager.dk
tel: 20911401
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit2 896.672 426.372 352.072 863.202 358.27
Other operating expenses- 678.51
Total depreciation-1 691.90-1 562.81-1 413.02-1 398.61-1 241.99
EBIT526.26863.56939.051 464.591 116.28
Other financial income1.672.040.40
Other financial expenses- 315.56- 430.86- 936.71-1 091.16- 799.84
Pre-tax profit210.70432.704.01375.47316.84
Income taxes-85.95- 124.26-1.47-82.43-73.02
Net earnings124.75308.452.54293.04243.81

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters23 373.7022 989.2623 452.7723 383.7622 343.15
Machinery and equipment2 019.561 426.44995.63722.41573.09
Tangible assets total25 393.2624 415.7024 448.4024 106.1722 916.24
Investments total
Long term receivables total
Raw materials and consumables92.7192.7192.7192.71
Inventories total92.7192.7192.7192.71
Current trade debtors76.5665.0057.50136.32
Prepayments and accrued income71.68
Current deferred tax assets495.84526.44616.96695.78785.73
Short term receivables total644.08591.44674.46832.10785.73
Cash and bank deposits349.25146.951.91162.351 026.49
Cash and cash equivalents349.25146.951.91162.351 026.49
Balance sheet total (assets)26 479.3125 246.8025 217.4825 193.3324 728.46

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Retained earnings6 274.126 398.876 707.316 709.857 002.89
Profit of the financial year124.75308.452.54293.04243.81
Shareholders equity total6 898.877 207.317 209.857 502.897 746.70
Provisions87.11
Non-current loans from credit institutions13 727.6812 833.4812 167.2011 464.9210 343.28
Non-current liabilities total13 727.6812 833.4812 167.2011 464.9210 343.28
Current loans from credit institutions1 027.36854.50756.46692.45921.16
Current trade creditors7.3146.9364.5225.3629.65
Current owed to participating4 320.843 976.104 535.734 735.555 019.68
Short-term deferred tax liabilities13.9762.85181.91110.97
Other non-interest bearing current liabilities396.18257.23483.72590.25553.94
Accruals and deferred income8.403.08
Current liabilities total5 765.655 206.015 840.436 225.526 638.48
Balance sheet total (liabilities)26 479.3125 246.8025 217.4825 193.3324 728.46
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