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E. CHRISTENSEN OG SØN ApS — Credit Rating and Financial Key Figures

CVR number: 14373993
Åtoftevej 2, Stend-Krogag 7200 Grindsted
lars@erlingtransport.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit14 733.0015 808.5617 599.5718 865.9621 264.39
Employee benefit expenses-10 647.13-11 482.35-12 115.61-13 827.83-14 291.64
Other operating expenses-9.53-21.95-14.00-15.33- 107.90
Total depreciation-2 426.61-2 516.01-3 003.64-3 150.65-3 459.46
EBIT1 649.731 788.252 466.321 872.153 405.39
Other financial income22.2446.32178.72103.13103.71
Other financial expenses- 111.62- 127.09- 216.74- 359.24- 439.84
Pre-tax profit1 560.341 707.482 428.301 616.043 069.27
Income taxes- 336.99- 359.91- 521.51- 344.89- 669.32
Net earnings1 223.351 347.571 906.791 271.152 399.95

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Machinery and equipment11 394.4112 376.8613 537.3818 036.7420 992.37
Advance payments and construction in progress534.30
Tangible assets total11 394.4112 376.8614 071.6818 036.7420 992.37
Investments total90.0090.0090.0090.00
Non-current loans receivable6.416.41124.78169.92216.52
Non-current other receivables90.00
Long term receivables total96.416.41124.78169.92216.52
Finished products/goods15.3315.3315.33
Inventories total15.3315.3315.33
Current trade debtors25.992.27
Current amounts owed by group member comp.2 477.232 464.352 998.002 656.733 092.28
Prepayments and accrued income127.33125.62146.8776.2279.82
Current other receivables1 332.0311.65307.98528.33
Short term receivables total3 962.582 603.893 452.853 261.283 172.10
Cash and bank deposits2 997.774 973.613 060.211 849.313 697.19
Cash and cash equivalents2 997.774 973.613 060.211 849.313 697.19
Balance sheet total (assets)18 466.4920 066.0920 814.8523 407.2528 168.18

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital200.00200.00200.00200.00200.00
Shares repurchased1 000.001 500.002 000.001 000.001 000.00
Other reserves- 162.92-12.54
Retained earnings7 058.376 781.726 129.297 036.097 307.24
Profit of the financial year1 223.351 347.571 906.791 271.152 399.95
Shareholders equity total9 481.729 829.2910 073.169 494.7010 907.18
Provisions811.38837.88892.301 208.131 499.94
Non-current leasing loans3 722.864 605.454 174.875 203.757 619.81
Non-current other liabilities208.8716.08
Non-current liabilities total3 722.864 605.454 383.745 219.827 619.81
Current trade creditors1 551.952 066.361 644.071 407.211 426.77
Current owed to group member22.967.9116.092 555.832 518.90
Short-term deferred tax liabilities401.09323.21409.7471.48368.83
Other non-interest bearing current liabilities2 474.532 395.993 395.743 450.083 826.75
Current liabilities total4 450.544 793.475 465.647 484.608 141.25
Balance sheet total (liabilities)18 466.4920 066.0920 814.8523 407.2528 168.18
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