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IRON PUMP A/S — Credit Rating and Financial Key Figures

CVR number: 62749318
Generatorvej 10, 2860 Søborg
tel: 44916788

Income statement (kDKK)

2021
2022
2024
2025
Fiscal period length12121212
Net sales
Gross profit54 563.0064 579.0068 675.8477 902.75
Employee benefit expenses-59 618.05-65 177.88
Total depreciation-4 336.32-5 468.09
EBIT4 714.006 556.004 721.477 256.78
Other financial income1 000.14
Other financial expenses-1 716.52-1 719.55
Pre-tax profit3 423.004 025.003 004.956 537.37
Income taxes- 797.33-2 065.17
Net earnings3 423.004 025.002 207.624 472.20

Assets (kDKK)

2021
2022
2024
2025
Development expenditure9 767.1911 418.17
Intangible rights536.18274.64
Goodwill185.00125.00
Intangible assets total10 488.3611 817.82
Buildings11 784.2015 142.35
Machinery and equipment4 093.614 020.30
Advance payments and construction in progress4 903.171 090.18
Tangible assets total20 780.9820 252.83
Investments total111 811.00126 462.00
Long term receivables total
Semifinished products45 897.6744 765.07
Raw materials and consumables19 543.8421 089.97
Finished products/goods1 834.694 052.68
Advance payments896.673 451.15
Inventories total68 172.8773 358.86
Current trade debtors22 248.2241 621.89
Current amounts owed by group member comp.825.00
Prepayments and accrued income91.38145.80
Current other receivables3 980.424 582.11
Current deferred tax assets271.01
Short term receivables total26 591.0347 174.80
Cash and bank deposits1 456.071 255.11
Cash and cash equivalents1 456.071 255.11
Balance sheet total (assets)111 811.00126 462.00127 489.32153 859.42

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital64 051.0067 702.005 500.005 500.00
Shares repurchased580.00
Other reserves7 618.409 424.35
Retained earnings-3 423.00-4 025.0053 322.0154 172.51
Profit of the financial year3 423.004 025.002 207.624 472.20
Minority interest (BS)- 371.00
Shareholders equity total64 051.0067 702.0069 228.0473 198.07
Provisions5 150.656 116.876 374.99
Non-current leasing loans3 458.552 201.47
Non-current liabilities total3 458.552 201.47
Current loans from credit institutions10 465.9317 529.92
Advances received7 375.1215 760.14
Current trade creditors13 738.4220 414.79
Current owed to group member5 589.005 929.93
Short-term deferred tax liabilities1 741.09
Other non-interest bearing current liabilities10 683.9010 131.96
Accruals and deferred income833.50577.04
Current liabilities total48 685.8672 084.88
Balance sheet total (liabilities)64 051.0067 702.005 150.65127 489.32153 859.42
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