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HVID-HOLM EJENDOMME ApS — Credit Rating and Financial Key Figures

CVR number: 31415756
Holmebakken 40, 8382 Hinnerup
post@hvid-holm.dk
tel: 40381544
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit5 610.28135.99-4 242.97736.782 447.73
Wages and salaries- 315.95- 432.38
Social security expenses-52.03
Employee benefit expenses- 242.06- 669.52- 686.05
Total depreciation- 447.81- 446.72- 329.13- 327.52-83.17
EBIT4 920.41- 980.26-5 258.1441.291 932.18
Other financial income31.9960.30181.86
Other financial expenses- 532.23- 351.30- 546.50- 774.35- 665.66
Income from other inv. held as non-curr. assets1 911.00
Pre-tax profit4 388.18-1 331.56-5 772.65- 672.763 359.38
Income taxes- 575.98110.7048.77- 340.53
Net earnings3 812.20-1 220.86-5 723.88- 672.763 018.85

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters12 382.6912 923.139 164.7813 679.6311 382.46
Machinery and equipment4.692.590.49
Tangible assets total12 387.3812 925.729 165.2713 679.6311 382.46
Investments total
Non-current other receivables1 539.541 599.841 320.24
Long term receivables total1 539.541 599.841 320.24
Raw materials and consumables19 420.3112 773.30
Finished products/goods4 125.00
Advance payments2 934.302 934.30
Inventories total22 354.6115 707.594 125.00
Current other receivables1 197.034 600.0027.95
Current deferred tax assets429.32540.01610.03613.58269.50
Short term receivables total1 626.345 140.01637.99613.58269.50
Cash and bank deposits1 085.630.64
Cash and cash equivalents1 085.630.64
Balance sheet total (assets)37 453.9633 773.3211 342.8015 893.0417 097.83

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00125.00
Other reserves- 125.00
Retained earnings-1 742.162 070.04849.18- 942.58-1 615.34
Profit of the financial year3 812.20-1 220.86-5 723.88- 672.763 018.85
Shareholders equity total2 195.04974.17-4 749.71-1 615.341 528.50
Provisions125.00
Non-current loans from credit institutions21 199.8312 013.0711 948.4311 848.2311 708.80
Non-current owed to group member1 167.221 213.911 262.461 312.962 403.64
Non-current other liabilities908.971 219.58340.00
Non-current liabilities total23 276.0114 446.5613 550.8913 161.1914 112.43
Current loans from credit institutions3 366.539 199.00381.271 005.57319.06
Advances received44.1644.16229.50
Current trade creditors5 768.605 822.0530.00
Current owed to participating998.97875.96663.23609.89
Current owed to group member1 112.321 153.67795.57507.07507.07
Other non-interest bearing current liabilities119.33548.62657.382 055.51371.26
Accruals and deferred income617.16753.29
Current liabilities total11 982.9018 352.592 541.614 222.201 456.89
Balance sheet total (liabilities)37 453.9633 773.3211 342.8015 893.0417 097.83
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