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JHH Landbrug ApS — Credit Rating and Financial Key Figures

CVR number: 41454407
Symbiosen 9 A, 4683 Rønnede
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit2 563.592 996.592 155.203 461.182 246.07
Other operating expenses-47.30
Total depreciation- 195.52- 245.73- 261.27- 264.78- 268.38
EBIT2 320.762 750.861 893.933 196.401 977.69
Other financial income87.574 818.7814.316.8517.11
Other financial expenses- 419.78- 914.61- 774.73-1 680.08-1 048.11
Pre-tax profit1 988.556 655.031 133.501 523.17946.69
Income taxes- 437.47-1 464.36- 223.69- 335.10- 168.10
Net earnings1 551.075 190.67909.811 188.07778.58

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters29 486.9039 592.4648 029.2756 379.2477 716.76
Machinery and equipment40.3425.6711.00
Tangible assets total29 486.9039 632.8048 054.9456 390.2577 716.76
Investments total86.4086.4086.4086.4086.40
Non-current loans receivable366.61354.67317.73284.24270.78
Long term receivables total366.61354.67317.73284.24270.78
Semifinished products135.32118.00393.65193.16209.22
Raw materials and consumables153.13364.82674.71456.29371.99
Finished products/goods991.521 647.93690.00
Inventories total288.45482.822 059.882 297.381 271.21
Current trade debtors299.2662.26588.9433.401 028.44
Prepayments and accrued income72.1582.2583.1499.34
Current other receivables16.04544.825 804.30
Short term receivables total315.30134.411 216.015 920.841 127.77
Cash and bank deposits7 358.881 605.061 175.96
Cash and cash equivalents7 358.881 605.061 175.96
Balance sheet total (assets)37 902.5542 296.1551 734.9664 979.1081 648.90

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital50.0050.0050.0056.0359.80
Asset revaluation reserve5 665.198 048.0811 601.41
Shares repurchased600.00
Retained earnings6 712.368 263.4412 854.1116 107.8920 466.47
Profit of the financial year1 551.075 190.67909.811 188.07778.58
Shareholders equity total8 313.4413 504.1120 079.1025 400.0732 906.26
Provisions3 628.243 581.555 115.626 107.197 331.07
Non-current loans from credit institutions23 629.3721 242.6221 009.1231 975.2931 794.37
Non-current other liabilities736.90682.90682.90682.90682.90
Non-current liabilities total24 366.2721 925.5221 692.0232 658.1932 477.27
Current loans from credit institutions794.59233.772 395.03448.117 680.93
Current trade creditors236.07383.84170.08349.92587.81
Current owed to group member93.50470.451 995.6215.62
Short-term deferred tax liabilities470.451 511.05287.5015.62277.65
Other non-interest bearing current liabilities685.88372.28
Current liabilities total1 594.613 284.984 848.22813.658 934.29
Balance sheet total (liabilities)37 902.5542 296.1551 734.9664 979.1081 648.90
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