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JB-P HOLDING ApS — Credit Rating and Financial Key Figures

CVR number: 26997097
Strandmarksvej 33, 8240 Risskov
jesper@bunde.dk
tel: 86125569

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit- 216.87- 272.70- 580.57- 258.99- 109.63
Employee benefit expenses-1 127.63-1 127.24-1 127.22-1 103.31-1 127.40
Other operating expenses-14.34-18.16-58.96
Total depreciation-19.88-8.10-6.19-6.19-26.23
EBIT-1 364.38-1 408.04-1 728.32-1 386.64-1 322.22
Other financial income22 787.633 166.7333 910.3928 171.0910 701.49
Other financial expenses- 710.34-23 910.06- 232.40- 187.87-2 909.19
Reduction non-current investment assets27.00
Net income from associates (fin.)- 107.5041.48520.58-50.52-1 131.69
Pre-tax profit20 605.41-22 109.8932 470.2526 573.065 338.39
Income taxes-4 554.10- 158.46-2 036.56-5 893.76-1 385.43
Net earnings16 051.31-22 268.3530 433.6820 679.303 952.96

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters15 846.14
Machinery and equipment25.2919.1012.906.710.52
Other tangible assets639.98639.98
Tangible assets total25.2919.1012.90646.6916 486.64
Holdings in group member companies192.50237.99282.54232.02162.68
Participating interests560.50560.50432.50
Investments total192.50798.49843.05664.52162.68
Non-curr. owed by particip. interest comp.560.50
Non-current loans receivable3 687.011 788.101 502.88943.50441.77
Non-current other receivables560.50
Long term receivables total4 247.521 788.101 502.881 504.01441.77
Finished products/goods639.98639.98639.98
Inventories total639.98639.98639.98
Current amounts owed by group member comp.6 802.158 179.518 566.5510 923.6611 185.20
Current other receivables903.74243.0835.00635.00600.00
Current deferred tax assets1 495.031 951.22927.246 467.041 614.61
Short term receivables total9 200.9210 373.819 528.7918 025.7013 399.81
Other current investments113 565.50116 319.13150 839.20145 497.63136 242.70
Cash and bank deposits85 348.7255 172.3248 040.4553 257.4653 306.34
Cash and cash equivalents198 914.22171 491.45198 879.65198 755.09189 549.04
Balance sheet total (assets)213 220.42185 110.92211 407.25219 596.01220 039.94

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital125.00125.00125.00125.00125.00
Shares repurchased11 000.0010 500.0017 250.00
Other reserves-5 000.00-10 500.00-5 250.00
Retained earnings195 982.76201 034.07178 765.72198 699.40202 128.70
Profit of the financial year16 051.31-22 268.3530 433.6820 679.303 952.96
Shareholders equity total212 159.07184 890.72209 324.40219 503.70218 206.65
Non-current other liabilities968.82
Non-current liabilities total968.82
Current loans from credit institutions491.19
Current trade creditors30.0030.0030.0030.0022.00
Current owed to participating932.1496.60338.445.0981.45
Short-term deferred tax liabilities15.381 630.4212.8910.25
Other non-interest bearing current liabilities83.8493.6184.0044.32259.58
Current liabilities total1 061.36220.212 082.8592.31864.47
Balance sheet total (liabilities)213 220.42185 110.92211 407.25219 596.01220 039.94
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