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able nordic a/s — Credit Rating and Financial Key Figures

CVR number: 87669017
Mågevej 16, 8370 Hadsten
info@ablenordic.dk
tel: 86982570
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit15 597.8412 838.8216 871.5418 228.5225 041.51
Costs of management-5 663.23-5 272.22-6 715.99-7 898.59
Costs of distribution-5 862.80-6 153.77-6 444.48-8 625.82
Other operating expenses- 235.00
EBIT3 072.331 312.795 445.555 068.058 282.10
Other financial income4.74-5.89
Other financial expenses- 764.20- 809.32-1 017.79- 866.32
Pre-tax profit1 921.04548.594 636.234 055.007 409.89
Income taxes- 131.93-1 035.23- 905.45-1 644.53
Net earnings1 921.04416.673 601.013 149.555 765.36

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters7 162.766 968.998 953.068 838.23
Buildings779.49166.41346.594 825.47
Machinery and equipment491.99142.67332.82187.52
Tangible assets total8 434.247 278.069 632.4713 851.22
Holdings in group member companies1 421.86
Investments total45 154.13381.681 803.54407.18359.70
Long term receivables total
Semifinished products10 597.359 003.838 153.838 658.04
Raw materials and consumables8 441.336 161.506 236.607 842.65
Finished products/goods5 499.067 023.729 541.596 487.15
Inventories total24 537.7522 189.0523 932.0222 987.84
Current trade debtors8 515.567 460.189 504.8618 332.55
Current amounts owed by group member comp.3 240.971 183.883 800.45
Prepayments and accrued income318.61356.50529.91399.75
Current other receivables222.31157.13158.50630.40
Current deferred tax assets226.82358.45243.37320.31
Short term receivables total9 283.3011 573.2311 620.5323 483.47
Cash and bank deposits14.4614.41268.39937.73
Cash and cash equivalents14.4614.41268.39937.73
Balance sheet total (assets)45 154.1342 651.4242 858.2945 860.5761 619.97

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital11 614.857 500.007 500.007 500.007 500.00
Other reserves746.3748.352.52-0.12
Retained earnings-1 921.043 891.854 898.227 446.7410 596.28
Profit of the financial year1 921.04416.673 601.013 149.555 765.36
Shareholders equity total11 614.8512 554.8816 047.5818 098.8123 861.53
Provisions235.00
Non-current loans from credit institutions4 349.794 122.867 079.836 630.11
Non-current leasing loans415.7764.53156.194 504.40
Non-current owed to group member7 000.007 000.007 000.004 550.00
Non-current liabilities total11 765.5611 187.3914 236.0215 684.51
Current loans from credit institutions5 495.625 368.982 175.68517.48
Advances received491.86426.932 846.263 969.74
Current trade creditors3 247.904 486.982 899.345 972.86
Current owed to group member4 237.231 400.00
Short-term deferred tax liabilities323.621 132.31226.851 486.73
Other non-interest bearing current liabilities4 534.744 208.125 377.628 492.12
Current liabilities total18 330.9815 623.3213 525.7521 838.93
Balance sheet total (liabilities)11 614.8542 651.4242 858.2945 860.5761 619.97
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