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Interfjord Randers A/S — Credit Rating and Financial Key Figures

CVR number: 37427047
Engelsholmvej 37, 8940 Randers SV
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit12 391.1418 249.8823 577.9421 853.4727 631.92
Employee benefit expenses-6 895.37-8 645.15-9 084.35-10 227.14-11 809.38
Other operating expenses-7.50-1.92
Total depreciation- 565.11- 675.65- 633.77- 694.55- 706.98
EBIT4 930.678 921.5713 857.9010 931.7815 115.57
Other financial income0.0991.01157.2272.05
Other financial expenses-57.34-40.80-79.21-76.63- 139.30
Net income from associates (fin.)712.37897.591 712.33
Pre-tax profit4 873.338 880.8614 582.0711 909.9616 760.65
Income taxes-1 075.37-1 989.63-3 049.52-2 435.07-3 367.88
Net earnings3 797.956 891.2311 532.559 474.8913 392.77

Assets (kDKK)

2021
2022
2023
2024
2025
Goodwill500.00380.00260.00140.0020.00
Intangible assets total500.00380.00260.00140.0020.00
Buildings171.54137.23102.92
Machinery and equipment1 393.551 965.511 365.041 662.171 878.94
Tangible assets total1 393.551 965.511 536.581 799.401 981.87
Holdings in group member companies1 109.871 294.962 107.29
Investments total348.991 494.841 731.892 581.72
Long term receivables total
Inventories total
Current trade debtors6 428.878 111.0312 596.9510 931.7713 589.52
Current amounts owed by group member comp.0.2511.0112.4649.84
Prepayments and accrued income145.1172.8059.06149.3222.11
Current other receivables1 005.7043.87131.5736.8924.40
Current deferred tax assets82.12
Short term receivables total7 579.698 227.9612 798.6011 130.4413 768.00
Cash and bank deposits6 230.238 154.5910 526.379 418.459 992.99
Cash and cash equivalents6 230.238 154.5910 526.379 418.459 992.99
Balance sheet total (assets)15 703.4719 077.0426 616.3824 220.1928 344.58

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital660.00660.00660.00660.00660.00
Shares repurchased3 800.006 800.0011 600.009 400.0013 450.00
Retained earnings-3 796.00-6 798.04-11 506.81-9 374.26-13 349.38
Profit of the financial year3 797.956 891.2311 532.559 474.8913 392.77
Shareholders equity total4 461.967 553.1912 285.7410 160.6214 153.39
Provisions83.00126.00101.0053.003.00
Non-current leasing loans783.18985.82706.571 091.841 330.84
Non-current liabilities total783.18985.82706.571 091.841 330.84
Current loans from credit institutions404.94485.36365.43411.89479.78
Current trade creditors6 432.797 492.3610 470.9710 040.589 931.95
Current owed to group member327.83427.79805.03846.99622.35
Short-term deferred tax liabilities284.28136.31247.52123.79
Other non-interest bearing current liabilities2 925.491 870.211 634.131 491.481 823.26
Current liabilities total10 375.3310 412.0413 523.0712 914.7312 857.34
Balance sheet total (liabilities)15 703.4719 077.0426 616.3824 220.1928 344.58
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