SUNDBY TRAPPER A/S — Credit Rating and Financial Key Figures

CVR number: 20056738
Smedevej 4-6, Sundby 7950 Erslev
tel: 97746162
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit6 007.163 283.384 050.026 115.725 985.32
Employee benefit expenses-3 068.62-3 205.54-2 730.90-5 223.05-5 799.79
Other operating expenses-47.21-39.16-1.47-5.48-0.90
Total depreciation- 140.81- 168.35- 163.19- 171.18- 190.78
EBIT2 750.51- 129.671 157.41716.00-6.15
Other financial income103.85206.37248.13476.88395.10
Other financial expenses-50.90-55.58-59.43- 121.12-97.77
Pre-tax profit2 803.4621.121 346.111 071.76291.18
Income taxes- 619.57-4.54- 296.39- 236.38-65.43
Net earnings2 183.9016.571 049.72835.38225.75

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters1 157.131 092.511 027.89963.272 450.00
Buildings28.27102.1773.6751.0832.80
Machinery and equipment422.61347.26277.20207.62139.02
Tangible assets total1 608.011 541.941 378.751 221.972 621.82
Investments total
Long term receivables total
Raw materials and consumables246.70292.07247.17237.63219.00
Inventories total246.70292.07247.17237.63219.00
Current trade debtors884.91775.2725.36505.10827.25
Current amounts owed by group member comp.6 544.434 782.524 972.556 298.696 454.01
Prepayments and accrued income44.2142.6845.3640.0746.76
Current other receivables391.83706.18722.66441.17490.05
Short term receivables total7 865.406 306.645 765.937 285.037 818.07
Cash and bank deposits531.47153.16710.49113.81307.19
Cash and cash equivalents531.47153.16710.49113.81307.19
Balance sheet total (assets)10 251.578 293.818 102.348 858.4410 966.09

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital670.00670.00670.00670.00670.00
Asset revaluation reserve556.93512.08467.23422.371 497.54
Shares repurchased2 000.00
Retained earnings206.692 435.442 496.863 591.434 471.67
Profit of the financial year2 183.9016.571 049.72835.38225.75
Shareholders equity total5 617.523 634.094 683.815 519.196 864.96
Provisions228.82232.84217.12181.03523.50
Non-current loans from credit institutions870.83752.04646.56578.13469.27
Non-current leasing loans286.60236.10185.34129.8077.52
Non-current deferred tax liabilities808.100.52312.11272.4738.86
Non-current liabilities total1 965.53988.671 144.00980.40585.66
Current loans from credit institutions110.00404.06115.00206.80669.90
Current trade creditors257.06676.42228.06410.98402.28
Short-term deferred tax liabilities18.27808.100.52312.11272.47
Other non-interest bearing current liabilities1 361.131 380.571 448.831 090.111 113.44
Accruals and deferred income693.24169.08265.00157.81533.87
Current liabilities total2 439.703 438.222 057.412 177.822 991.96
Balance sheet total (liabilities)10 251.578 293.818 102.348 858.4410 966.09
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