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RISBJERG A/S — Credit Rating and Financial Key Figures

CVR number: 32771513
Eksportvej 8, 8653 Them
mail@risbjerg.dk
tel: 87206008
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit6 662.396 334.091 596.855 029.171 208.08
Employee benefit expenses-3 998.36-4 457.49-4 973.98-3 600.41-3 593.96
Other operating expenses- 800.00
Total depreciation- 326.73- 326.55- 352.49- 231.91- 193.11
EBIT1 537.301 550.05-3 729.611 196.85-2 578.99
Other financial income0.101.1429.2956.593.43
Other financial expenses-69.74- 129.55- 737.29- 815.63- 255.25
Pre-tax profit1 467.661 421.64-4 437.61437.80-2 830.81
Income taxes- 324.13- 316.10937.48- 129.19296.23
Net earnings1 143.531 105.54-3 500.13308.61-2 534.57

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings35.4933.62253.21
Machinery and equipment1 173.27836.30748.68518.89606.25
Tangible assets total1 173.27836.30784.17552.51859.46
Investments total285.00285.00315.00349.00355.00
Long term receivables total
Raw materials and consumables584.161 189.3916 206.58
Finished products/goods9 165.5515 469.4319 859.6415 646.72
Advance payments567.76322.15
Inventories total10 317.4716 980.9716 206.5819 859.6415 646.72
Current trade debtors2 174.242 208.571 422.381 576.781 020.88
Current amounts owed by group member comp.500.00993.71
Prepayments and accrued income314.111 610.86235.32
Current other receivables20.4036.00283.87366.30207.71
Current deferred tax assets812.19812.371 108.60
Short term receivables total2 194.632 558.694 129.313 490.773 330.90
Cash and bank deposits1 800.760.162.004.29202.19
Cash and cash equivalents1 800.760.162.004.29202.19
Balance sheet total (assets)15 771.1420 661.1221 437.0624 256.2120 394.26

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Asset revaluation reserve549.00388.83229.99
Shares repurchased2 249.07
Retained earnings951.005.63170.011 499.876 808.48
Profit of the financial year1 143.531 105.54-3 500.13308.61-2 534.57
Shareholders equity total3 143.534 249.07-2 600.132 308.484 773.90
Provisions219.49151.29
Non-current other liabilities103.30
Non-current deferred tax liabilities105.47109.16
Non-current liabilities total103.30105.47109.16
Current loans from credit institutions6 226.8713 257.4812 830.5010 824.44
Advances received3 607.862 090.443 782.29
Current trade creditors4 849.217 029.752 426.45419.49340.74
Current owed to participating158.306.3099.76
Current owed to group member468.00190.66666.026 337.504 090.43
Short-term deferred tax liabilities386.40384.30
Other non-interest bearing current liabilities2 835.05226.973 696.032 360.24364.75
Current liabilities total12 304.8216 155.2923 928.0321 947.7415 620.36
Balance sheet total (liabilities)15 771.1420 661.1221 437.0624 256.2120 394.26
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