Filings/JDAN/ANNUAL

JEUDAN A/S ANNUAL

Period 2025-12-31 · filed 2026-04-09

Source document

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KPIsSections8
Headline metrics
RevenueGREENDKK 1.75B+2.5% YoY
Gross marginGREEN71.4%
Net incomeGREENDKK 1.00B+788.4% YoY
Net marginGREEN57.1%
Operating marginGREEN60.7%
Red flags1 red1 orange
Liquidity2
ORANGE
Current ratio 0.27current_ratio_low
Current assets are below current liabilities — short-term liquidity pressure.
RED
Cash runway ~0.1 yearscash_runway_low
At current burn rate, cash covers less than 2 years — may require near-term financing.
Income Statement
Income Statement
MetricValueFlag
RevenueDKK 1.75BGREEN
Gross Margin71.4%GREEN
Operating Margin60.7%GREEN
Net Margin57.1%GREEN
Gross ProfitDKK 1.25BGREEN
Operating IncomeDKK 1.06BGREEN
Net IncomeDKK 1.00BGREEN
EBITDADKK 1.09BGREEN
Income Tax ExpenseDKK 294.0MGREEN
Pre-tax IncomeDKK 1.29BGREEN
EPS Diluted€18.06GREEN
Interest ExpenseDKK 505.7MGREEN
Cost Of RevenueDKK 500.6MGREEN
Selling General & Admin ExpDKK 164.7MGREEN
Interest and Investment IncomeDKK 21.6MGREEN
Basic EPSDKK 18.06GREEN
Balance Sheet
Balance Sheet
MetricValueFlag
Total AssetsDKK 39.14BGREEN
Current AssetsDKK 398.1MGREEN
Current LiabilitiesDKK 1.47BGREEN
Total LiabilitiesDKK 26.04BGREEN
Total EquityDKK 13.09BGREEN
Cash & EquivalentsDKK 137.8MGREEN
Trade ReceivablesDKK 33.2MGREEN
Short Term InvestmentsDKK 182.4MGREEN
Prepaid ExpensesDKK 8.8MGREEN
Common StockDKK 1.11BGREEN
Cash Flow
Cash Flow
MetricValueFlag
Operating Cash FlowDKK 644.5MGREEN
Investing Cash Flow-DKK 1.61BGREEN
Depreciation & AmortizationDKK 27.9MGREEN
Free Cash Flow-DKK 967.4MGREEN
Financing Cash FlowDKK 1.03BGREEN
Net Income (starting point for CFO)DKK 606.3MGREEN
Change in Income TaxesDKK 1,000GREEN
Cash AcquisitionsDKK 0GREEN
Repurchase of Common StockDKK 7.9MGREEN
Common Dividends PaidDKK 166.0MGREEN
Net Change in CashDKK 61.1MGREEN

Sections in this filing

IFRS Compliance

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