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J2A Holding ApS — Credit Rating and Financial Key Figures

CVR number: 40465731
Søndergård Alle 14, Hammelev 6500 Vojens
arkil@arkil.dk
tel: 73225050
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit- 346.80942.17
Costs of management-1 317.43-7 652.24
EBIT-1 000.00- 900.00-1 000.00-1 664.24-6 710.07
Other financial income11 743.026 352.68
Other financial expenses-40 339.92-38 605.01
Net income from associates (fin.)163 385.57201 462.89
Pre-tax profit47 600.0065 400.00139 200.00133 124.44162 500.50
Income taxes6 631.728 320.90
Net earnings47 600.0065 400.00139 200.00139 756.15170 821.40

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters14 253.2645 990.33
Machinery and equipment209.571 520.18
Advance payments and construction in progress4 457.97
Tangible assets total18 920.7947 510.52
Holdings in group member companies732 602.31936 737.93
Participating interests50.0069.20
Other non-current investments638 400.00678 900.00714 300.00
Investments total638 400.00678 900.00714 300.00732 652.31936 807.13
Non-current other receivables3 618.72
Long term receivables total3 618.72
Inventories total
Current amounts owed by group member comp.172 792.9439 580.25
Current other receivables35 900.0061 200.00134 300.001 043.032 912.03
Current deferred tax assets28 802.0333 125.76
Short term receivables total35 900.0061 200.00134 300.00202 638.0075 618.04
Other current investments25 026.50
Cash and bank deposits662.00260.50
Cash and cash equivalents662.0025 287.00
Balance sheet total (assets)674 300.00740 100.00848 600.00954 873.101 088 841.41

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital10 300.0010 300.0010 300.0010 325.1010 325.10
Shares repurchased15 000.0020 000.00
Other reserves456 500.00541 200.00657 345.8066 174.31270 309.93
Retained earnings-47 600.00-65 400.00- 139 200.00569 370.67487 663.93
Profit of the financial year47 600.0065 400.00139 200.00139 756.15170 821.40
Shareholders equity total466 800.00551 500.00667 645.80800 626.23959 120.35
Provisions- 674 300.00- 740 100.00- 848 645.80
Non-current other liabilities157 500.00146 000.00150 800.00
Non-current deferred tax liabilities124 809.00102 514.00
Non-current liabilities total157 500.00146 000.00150 800.00124 809.00102 514.00
Current loans from credit institutions28 000.0026 000.00
Current trade creditors1 370.67782.31
Current owed to group member280.33
Other non-interest bearing current liabilities50 000.0042 600.0030 200.0067.20144.41
Current liabilities total50 000.0042 600.0030 200.0029 437.8627 207.05
Balance sheet total (liabilities)954 873.101 088 841.41
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