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ULEFOS A/S — Credit Rating and Financial Key Figures

CVR number: 15912146
Industriholmen 3-5, 2650 Hvidovre
post@ulefosnv.dk
tel: 36490891
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit7 230.4713 574.5615 255.207 623.9110 017.23
Employee benefit expenses-6 717.09-6 947.63-5 811.30-6 257.34-7 157.96
Total depreciation-86.85- 207.79- 309.15- 351.01- 226.71
EBIT426.536 419.159 134.751 015.562 632.56
Other financial income59.0853.7559.49
Other financial expenses-76.66-77.44- 116.23- 285.98- 105.52
Pre-tax profit349.876 341.719 077.60783.332 586.53
Income taxes313.80- 755.87-2 017.67- 223.57- 592.84
Net earnings663.675 585.857 059.92559.761 993.69

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings507.53469.66431.78393.91356.04
Machinery and equipment51.42622.38408.77310.08242.72
Tangible assets total558.951 092.04840.56704.00598.76
Investments total496.93509.83562.39565.25585.11
Long term receivables total
Raw materials and consumables8 609.7111 747.3310 506.249 701.4211 088.66
Advance payments691.00144.08
Inventories total8 609.7111 747.3311 197.249 845.5011 088.66
Current trade debtors15 329.8019 984.7427 362.4231 642.2525 769.80
Current amounts owed by group member comp.121.822 636.8245.833.64904.01
Prepayments and accrued income308.20432.60504.22455.87495.20
Current other receivables0.31
Current deferred tax assets313.8038.6335.1784.02111.40
Short term receivables total16 073.6223 093.1027 947.6332 185.7727 280.40
Cash and bank deposits2.492.541.701.7013.91
Cash and cash equivalents2.492.541.701.7013.91
Balance sheet total (assets)25 741.6936 444.8540 549.5143 302.2239 566.84

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased3 000.00
Retained earnings14 432.0115 095.6817 681.5324 741.4625 301.22
Profit of the financial year663.675 585.857 059.92559.761 993.69
Shareholders equity total15 595.6821 181.5328 241.4625 801.2227 794.91
Non-current other liabilities855.01893.27
Non-current deferred tax liabilities931.15957.47997.95
Non-current liabilities total855.01893.27931.15957.47997.95
Current loans from credit institutions47.6250.9996.7239.87
Current trade creditors1 508.711 311.841 603.822 680.031 495.46
Current owed to group member6 023.8810 603.976 474.1012 062.527 794.18
Short-term deferred tax liabilities604.562 014.21156.42146.22
Other non-interest bearing current liabilities1 710.791 798.691 188.051 604.691 338.12
Current liabilities total9 291.0014 370.0511 376.9116 543.5310 773.99
Balance sheet total (liabilities)25 741.6936 444.8540 549.5143 302.2239 566.84
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