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BAY VALVES ApS — Credit Rating and Financial Key Figures

CVR number: 30248120
Skaboeshusevej 175, Skaboeshuse 5800 Nyborg
bay@bayvalves.com
tel: 70221892
www.bayvalves.com
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit1 890.19364.263 594.286 919.718 852.77
Employee benefit expenses- 643.34- 547.78- 513.11- 735.49- 764.81
Total depreciation-23.06-48.36- 192.74- 296.81- 274.85
EBIT1 223.80- 231.892 888.435 887.417 813.10
Other financial income17.56261.4986.41337.16200.86
Other financial expenses-21.34-9.79-1.81-53.76-1 099.33
Pre-tax profit1 220.0219.812 973.026 170.806 914.63
Income taxes- 269.10-4.40- 654.31-1 359.08-1 521.57
Net earnings950.9115.412 318.714 811.725 393.07

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure68.7858.3447.9037.4627.02
Intangible assets total68.7858.3447.9037.4627.02
Land and waters80.2478.2374.22
Buildings32.0091.44
Machinery and equipment31.2076.741 275.87991.50731.10
Tangible assets total63.20168.171 356.111 069.73805.32
Holdings in group member companies176.92176.92176.92176.92176.92
Investments total176.92176.92176.92176.92176.92
Long term receivables total
Finished products/goods248.089.503.60
Inventories total248.089.503.60
Current trade debtors1 267.05583.45836.542 949.581 425.23
Current amounts owed by group member comp.337.99333.91
Current other receivables1 886.69250.672 013.97561.841 700.55
Short term receivables total3 153.741 172.113 184.413 511.413 125.78
Cash and bank deposits26.741 783.001 474.747 115.729 653.52
Cash and cash equivalents26.741 783.001 474.747 115.729 653.52
Balance sheet total (assets)3 737.463 368.046 243.6811 911.2413 788.57

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital250.00250.00250.00250.00250.00
Shares repurchased3 000.006 500.005 500.00
Other reserves53.6545.5137.3729.2221.08
Retained earnings1 795.392 754.45- 222.00-4 395.15-5 075.28
Profit of the financial year950.9115.412 318.714 811.725 393.07
Shareholders equity total3 049.963 065.365 384.077 195.806 088.86
Provisions15.4615.7365.3457.2839.69
Non-current liabilities total
Current loans from credit institutions20.23
Current trade creditors76.1850.0050.00402.0350.00
Current owed to participating288.87218.2382.93227.1360.38
Current owed to group member61.722 627.505 966.01
Short-term deferred tax liabilities197.824.08604.701 367.151 538.70
Other non-interest bearing current liabilities27.2114.6456.6334.3644.91
Current liabilities total672.04286.95794.274 658.177 660.01
Balance sheet total (liabilities)3 737.463 368.046 243.6811 911.2413 788.57
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