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DIGIGRAF TRYK & REKLAME ApS — Credit Rating and Financial Key Figures

CVR number: 30721810
Fabriksvej 4, 9490 Pandrup
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit2 779.762 917.742 897.752 982.313 463.97
Employee benefit expenses-2 125.13-2 089.99-1 984.21-2 370.62-2 364.22
Other operating expenses-17.78
Total depreciation- 213.10- 266.61- 184.45- 124.99- 137.83
EBIT441.53543.36729.08486.70961.91
Other financial income0.600.601.852.390.78
Other financial expenses-17.09-16.56-20.07-25.59-17.33
Pre-tax profit425.04527.40710.86463.51945.36
Income taxes-98.06- 111.99- 157.31- 113.99- 224.08
Net earnings326.98415.41553.55349.52721.28

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings620.22695.91601.12899.63687.33
Tangible assets total620.22695.91601.12899.63687.33
Investments total43.2043.2043.2043.2043.20
Non-current loans receivable2.002.002.002.002.00
Long term receivables total2.002.002.002.002.00
Raw materials and consumables93.86200.39176.86216.66231.30
Inventories total93.86200.39176.86216.66231.30
Current trade debtors783.17724.61422.89397.33747.43
Current amounts owed by group member comp.175.47
Prepayments and accrued income87.8245.49
Current other receivables100.00
Current deferred tax assets11.3621.9412.93
Short term receivables total1 057.83746.54435.81542.82747.43
Cash and bank deposits51.02262.76714.48188.32419.67
Cash and cash equivalents51.02262.76714.48188.32419.67
Balance sheet total (assets)1 868.131 950.811 973.481 892.642 130.93

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital200.00200.00200.00200.00200.00
Shares repurchased400.00500.00550.00400.00700.00
Retained earnings-50.46- 223.48- 358.07- 204.53- 555.01
Profit of the financial year326.98415.41553.55349.52721.28
Shareholders equity total876.52891.93945.48744.991 066.27
Provisions23.4746.23
Non-current liabilities total
Advances received73.192.512.51240.47
Current trade creditors299.73248.10210.74185.37122.93
Current owed to participating3.883.883.883.883.88
Current owed to group member226.93189.99580.27
Short-term deferred tax liabilities99.77127.96153.0084.03201.32
Other non-interest bearing current liabilities515.03452.01467.88268.11449.83
Current liabilities total991.611 058.881 028.001 124.171 018.43
Balance sheet total (liabilities)1 868.131 950.811 973.481 892.642 130.93
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