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TESTRUPGÅRD ApS — Credit Rating and Financial Key Figures

CVR number: 34805237
Testrupvej 103, Testrup 8320 Mårslet
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit4 379.574 074.114 638.403 854.803 658.07
Employee benefit expenses- 988.79- 852.17-1 230.79-1 214.61-1 054.57
Other operating expenses- 137.82-12.01-13.25- 111.16-58.24
Total depreciation-1 704.10-1 465.96-1 493.47-1 481.96-1 506.97
Reduction in value of non-current assets- 225.43237.30- 415.77
EBIT4 957.061 743.971 900.901 047.081 038.29
Other financial income22.7624.8161.0783.96235.39
Other financial expenses- 377.07- 349.17- 662.32- 665.26- 771.24
Net income from associates (fin.)103.3326.1931.1741.0243.59
Pre-tax profit4 706.081 445.811 330.82506.80546.03
Income taxes492.04-13.52-59.03- 326.39-79.14
Net earnings5 198.111 432.291 271.78180.40466.89

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters30 003.4930 003.4930 003.4925 442.7019 186.69
Buildings23 139.4221 756.4720 724.0019 416.0318 002.07
Machinery and equipment797.00714.00631.00548.00455.00
Tangible assets total53 939.9152 473.9551 358.4945 406.7437 643.76
Participating interests1 726.771 759.801 834.731 904.441 746.44
Investments total1 726.771 759.801 834.731 904.441 746.44
Non-curr. owed by group member comp.1 914.99
Long term receivables total1 914.99
Semifinished products202.55310.30294.29123.00143.28
Raw materials and consumables152.12352.86200.35108.1398.79
Finished products/goods1 817.081 585.092 228.51328.98715.73
Inventories total2 171.752 248.252 723.14560.11957.80
Current trade debtors7.1848.8172.22169.020.05
Current amounts owed by group member comp.2 216.58
Current owed by particip. interest comp.4 462.145 005.321 432.291 726.861 683.01
Prepayments and accrued income50.00
Current other receivables19.6557.244 274.093 270.28
Short term receivables total4 488.975 054.131 561.756 169.977 219.93
Other current investments4 835.60
Cash and bank deposits1 284.772 027.88450.451 503.333 824.24
Cash and cash equivalents1 284.772 027.88450.451 503.338 659.85
Balance sheet total (assets)63 612.1763 564.0257 928.5657 459.5856 227.78

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital80.0080.0080.0080.0080.00
Shares repurchased300.001 000.0010 000.00
Retained earnings30 799.4235 997.5337 429.8237 701.6027 882.01
Profit of the financial year5 198.111 432.291 271.78180.40466.89
Shareholders equity total36 377.5337 509.8238 781.6038 962.0138 428.90
Provisions3 820.003 491.003 230.002 867.002 421.00
Non-current loans from credit institutions17 321.6216 906.6112 071.6412 071.8212 071.82
Non-current owed to group member1 841.771 633.861 122.862 247.882 701.12
Non-current other liabilities3 487.493 025.36
Non-current deferred tax liabilities2 409.69615.39448.14
Non-current liabilities total22 650.8721 565.8415 604.1914 935.0915 221.08
Current loans from credit institutions124.93414.20
Current trade creditors329.88269.60139.02449.3263.63
Other non-interest bearing current liabilities304.80309.93170.64206.5853.58
Accruals and deferred income4.163.643.1239.5839.58
Current liabilities total763.76997.36312.77695.49156.80
Balance sheet total (liabilities)63 612.1763 564.0257 928.5657 459.5856 227.78
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