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AUTO CENTRO A/S — Credit Rating and Financial Key Figures

CVR number: 75895119
Færgevej 17, 4970 Rødby
tel: 54605202
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit11 926.2512 007.5612 320.5213 158.4214 286.94
Employee benefit expenses-10 755.64-10 226.08-9 789.56-9 990.56-10 499.85
Other operating expenses- 153.18-88.80
Total depreciation- 471.74- 510.15- 495.44- 443.79- 469.17
EBIT698.861 118.152 035.532 635.283 317.92
Other financial income1.302.717.8511.89
Other financial expenses- 564.50- 717.53-1 098.42-1 271.06- 992.87
Pre-tax profit135.66403.33937.111 372.072 336.95
Income taxes-30.48-91.02- 207.06- 303.50- 515.31
Net earnings105.18312.31730.041 068.571 821.64

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters15 593.9619 093.3518 882.9716 631.7316 341.35
Buildings88.77
Machinery and equipment511.16630.97736.07585.87700.32
Tangible assets total16 193.8919 724.3219 619.0417 217.6117 041.67
Investments total
Long term receivables total
Raw materials and consumables970.66826.27704.16613.18510.01
Finished products/goods11 260.1516 823.5511 533.327 841.928 862.09
Inventories total12 230.8217 649.8112 237.488 455.109 372.09
Current trade debtors1 605.031 725.121 667.722 565.09976.11
Current amounts owed by group member comp.50.00204.2863.15
Prepayments and accrued income150.44108.66113.81225.5999.40
Current other receivables1 066.68655.05706.39307.71634.46
Current deferred tax assets300.91209.892.83130.71
Short term receivables total3 173.062 698.722 490.743 433.381 773.12
Other current investments55.50
Cash and bank deposits12.4317.366.235.418.07
Cash and cash equivalents67.9317.366.235.418.07
Balance sheet total (assets)31 665.6940 090.2234 353.4929 111.5028 194.95

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Asset revaluation reserve1 622.161 575.811 529.46
Shares repurchased375.00275.00275.00275.00275.00
Retained earnings342.63219.16966.581 421.632 215.19
Profit of the financial year105.18312.31730.041 068.571 821.64
Shareholders equity total2 944.972 882.284 001.093 265.194 811.84
Provisions384.60
Non-current loans from credit institutions9 132.009 541.049 444.158 069.287 805.02
Non-current other liabilities383.02
Non-current deferred tax liabilities391.07404.75417.30432.74
Non-current liabilities total9 515.039 932.119 848.908 486.588 237.76
Current loans from credit institutions15 012.6818 391.4613 522.8312 346.7710 852.94
Advances received505.271 316.83710.15903.00
Current trade creditors2 028.547 020.253 383.803 521.881 833.89
Current owed to group member663.770.82
Other non-interest bearing current liabilities1 659.201 200.362 279.22780.921 170.92
Current liabilities total19 205.7027 275.8320 503.5017 359.7214 760.75
Balance sheet total (liabilities)31 665.6940 090.2234 353.4929 111.5028 194.95
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