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HJN INVEST ApS — Credit Rating and Financial Key Figures

CVR number: 29183627
Thujavej 43, 5250 Odense SV
nja@odensebolig.dk
tel: 66170736
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit5 595.225 516.345 683.715 812.785 369.62
Employee benefit expenses-57.01-71.00-95.29- 194.72- 194.79
Reduction in value of non-current assets7 668.58234.80803.20484.283 448.28
EBIT13 206.795 680.146 391.626 102.348 623.11
Other financial income1 410.331 437.511 464.181 127.171 049.37
Other financial expenses-2 502.02-2 000.53-2 631.18-2 563.69-2 342.21
Net income from associates (fin.)306.00236.0387.0030.16
Pre-tax profit12 421.105 117.125 460.654 752.827 360.43
Income taxes-2 807.39-1 741.10- 942.14- 817.06-1 404.25
Net earnings9 613.713 376.024 518.513 935.765 956.19

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings137 965.64138 200.44139 003.64139 487.92142 936.20
Tangible assets total137 965.64138 200.44139 003.64139 487.92142 936.20
Holdings in group member companies728.00728.00956.031 043.031 073.19
Investments total728.00728.00956.031 043.031 073.19
Non-curr. owed by group member comp.53 300.0052 928.9752 427.0652 021.3046 600.00
Non-current loans receivable10.0010.0010.0010.0010.00
Non-current other receivables3 662.28
Long term receivables total53 310.0052 938.9752 437.0652 031.2950 272.28
Inventories total
Current trade debtors8.582.851.078.9639.27
Current amounts owed by group member comp.8 651.797 819.892 714.5756.7918.00
Prepayments and accrued income39.8339.7039.0364.18122.36
Current other receivables1 345.062 934.823 382.873 387.0140.00
Short term receivables total10 045.2610 797.276 137.543 516.93219.63
Other current investments1 722.52
Cash and bank deposits556.8810.2054.69977.83
Cash and cash equivalents556.8810.2054.692 700.35
Balance sheet total (assets)202 605.77202 674.88198 588.95196 079.18197 201.65

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital225.00225.00225.00225.00225.00
Shares repurchased225.00225.00225.00250.00250.00
Other reserves2 340.80727.50865.72952.731 072.69
Retained earnings74 612.8389 367.7192 380.5196 562.01100 127.81
Profit of the financial year9 613.713 376.024 518.513 935.765 956.19
Shareholders equity total87 017.3493 921.2398 214.74101 925.50107 631.68
Provisions5 506.405 349.005 314.405 215.805 772.80
Non-current loans from credit institutions86 899.6584 382.5783 202.0779 098.3076 175.74
Non-current other liabilities3 746.57
Non-current liabilities total90 646.2284 382.5783 202.0779 098.3076 175.74
Current loans from credit institutions11 131.528 438.894 838.022 995.552 894.27
Current trade creditors127.92313.7262.32176.99171.70
Current owed to participating2 345.732 673.771 357.741 371.961 089.23
Short-term deferred tax liabilities200.891 898.49176.74165.66106.88
Other non-interest bearing current liabilities5 629.755 697.215 422.925 129.423 359.35
Current liabilities total19 435.8119 022.0811 857.749 839.587 621.42
Balance sheet total (liabilities)202 605.77202 674.88198 588.95196 079.18197 201.65
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