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Glunz & Jensen A/S — Credit Rating and Financial Key Figures

CVR number: 38066412
Selandia Park 1, 4100 Ringsted
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales57 873.0029 112.00
Other operating income848.005.004.0090.0028.00
Costs of manufacturing-41 338.00-18 180.00
Gross profit16 535.0010 932.007 860.0013 432.0015 432.00
Costs of management-4 433.00-3 524.00-4 602.00-4 702.00-3 694.00
Costs of distribution-8 870.00-6 629.00-8 886.00-10 651.00-9 766.00
Other operating expenses-1 803.00- 986.00-1 244.00-1 677.00- 794.00
EBIT2 277.00- 202.00-6 868.00-3 508.001 206.00
Other financial income50.00869.001 725.00774.00713.00
Other financial expenses-2 849.00-1 956.00-3 183.00-1 438.00-1 173.00
Net income from associates (fin.)4 300.001 929.002 919.001 277.001 861.00
Pre-tax profit3 778.00640.00-5 407.00-2 895.002 607.00
Income taxes881.00460.001 885.001 385.00- 165.00
Net earnings4 659.001 100.00-3 522.00-1 510.002 442.00

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure573.00704.00
Intangible assets total573.00704.00
Buildings546.00557.0044.00
Machinery and equipment143.00347.00188.0078.00
Other tangible assets1 000.00609.00568.00257.00167.00
Tangible assets total1 546.001 309.00959.00445.00245.00
Holdings in group member companies36 538.0038 590.0040 537.0040 407.0041 825.00
Participating interests244.00257.00
Investments total36 782.0038 847.0040 537.0040 407.0041 825.00
Non-current other receivables3 372.002 580.00168.0019.0020.00
Deferred tax assets6 577.005 087.005 756.006 134.004 789.00
Long term receivables total9 949.007 667.005 924.006 153.004 809.00
Raw materials and consumables575.001 299.00375.0026.00
Finished products/goods968.00420.001 458.001 377.00
Inventories total1 543.001 719.001 833.001 403.00
Current trade debtors1 243.001 262.0028.00
Current amounts owed by group member comp.24 897.0035 680.0024 792.0017 559.0024 950.00
Prepayments and accrued income104.00164.00240.00219.00151.00
Current other receivables1 373.001 531.00218.00119.00161.00
Short term receivables total27 617.0038 637.0025 278.0017 897.0025 262.00
Cash and bank deposits304.00305.00304.0016.0026.00
Cash and cash equivalents304.00305.00304.0016.0026.00
Balance sheet total (assets)77 741.0088 484.0074 835.0066 894.0072 871.00

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital40 000.0040 000.0040 000.0040 000.0040 000.00
Other reserves447.00549.00
Other restricted equity-31 496.00
Retained earnings-4 659.00-31 334.00-10 365.00-13 978.00-16 032.00
Profit of the financial year4 659.001 100.00-3 522.00-1 510.002 442.00
Shareholders equity total8 504.009 766.0026 113.0024 959.0026 959.00
Provisions19 025.00
Non-current leasing loans4 810.003 586.00195.00103.00
Non-current other liabilities5 941.0012 488.0012 808.0011 852.0014 426.00
Non-current deferred tax liabilities2 858.002 272.002 212.002 147.00
Non-current liabilities total13 609.0016 074.0015 275.0014 167.0016 573.00
Current loans from credit institutions10 724.0027 933.009 556.004 828.009 718.00
Advances received1 309.002 041.001 419.001 811.00
Current trade creditors2 047.001 190.00764.00280.00168.00
Current owed to group member23 411.0020 060.0010 485.0013 249.0014 528.00
Other non-interest bearing current liabilities18 137.0011 420.0011 223.007 600.004 925.00
Current liabilities total55 628.0062 644.0033 447.0027 768.0029 339.00
Balance sheet total (liabilities)96 766.0088 484.0074 835.0066 894.0072 871.00
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