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DANSIGN A/S — Credit Rating and Financial Key Figures

CVR number: 20982179
Fjeldhammervej 19, 2610 Rødovre
dansign@dansign.dk
tel: 44840330
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit12 902.1815 443.0515 965.2120 842.1517 604.66
Employee benefit expenses-11 046.35-11 691.07-14 479.81-14 267.32-15 248.19
Other operating expenses-4.40
Total depreciation- 619.06- 433.71- 543.04- 675.30- 701.90
EBIT1 236.783 318.27942.375 895.121 654.57
Other financial income7.2924.1678.04119.4139.81
Other financial expenses- 123.79- 104.10- 389.82- 308.52- 205.28
Pre-tax profit1 120.283 238.34630.595 706.011 489.09
Income taxes- 283.52- 780.68- 111.12-1 719.78-42.08
Net earnings836.762 457.66519.483 986.241 447.01

Assets (kDKK)

2021
2022
2023
2024
2025
Goodwill798.04666.852 097.901 716.761 335.62
Intangible assets total798.04666.852 097.901 716.761 335.62
Buildings540.80397.60810.27251.84146.60
Machinery and equipment308.63202.0126.25330.53294.30
Tangible assets total849.42599.61836.52582.36440.90
Investments total428.10503.36519.95491.97577.08
Long term receivables total
Finished products/goods4 710.964 313.663 616.213 448.713 599.76
Inventories total4 710.964 313.663 616.213 448.713 599.76
Current trade debtors7 604.458 201.307 717.976 057.898 968.63
Current amounts owed by group member comp.222.63
Prepayments and accrued income78.64126.5985.3064.1643.70
Current other receivables227.9899.301 429.591 423.68727.42
Current deferred tax assets14.0085.8363.00
Short term receivables total7 925.068 649.819 318.697 545.749 802.75
Cash and bank deposits197.60542.58158.47819.483.24
Cash and cash equivalents197.60542.58158.47819.483.24
Balance sheet total (assets)14 909.1815 275.8916 547.7514 605.0115 759.35

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital750.00750.00750.00750.00750.00
Shares repurchased5 287.78
Retained earnings3 693.37- 757.661 700.002 219.484 248.01
Profit of the financial year836.762 457.66519.483 986.241 447.01
Shareholders equity total5 280.137 737.782 969.486 955.716 445.01
Provisions307.00
Non-current owed to group member59.77
Non-current other liabilities1 193.65148.46234.17
Non-current deferred tax liabilities1 163.501 383.521 376.761 427.70
Non-current liabilities total1 253.421 311.961 617.691 376.761 427.70
Current loans from credit institutions1 361.951 270.88365.19874.50
Advances received752.011 704.141 189.971 820.502 185.51
Current trade creditors1 913.271 436.032 847.41693.972 063.07
Current owed to participating1 529.99
Current owed to group member2 164.87
Short-term deferred tax liabilities158.59766.68172.96758.95292.08
Other non-interest bearing current liabilities4 189.812 319.302 784.502 313.632 471.47
Accruals and deferred income13.30
Current liabilities total8 375.646 226.1411 960.585 965.547 886.64
Balance sheet total (liabilities)14 909.1815 275.8916 547.7514 605.0115 759.35
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