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Frederik VI's Hotel ApS — Credit Rating and Financial Key Figures

CVR number: 29427763
Rugårdsvej 590, Slukefter 5210 Odense NV
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit10 844.2811 895.0012 106.1312 007.6712 451.74
Employee benefit expenses-8 298.50-9 920.80-10 212.38-10 448.60-10 717.09
Other operating expenses- 201.53- 168.58
Total depreciation- 794.52- 740.61- 907.22-1 049.20-1 238.94
EBIT1 751.271 233.59785.00341.29495.70
Other financial income0.77120.6729.70
Other financial expenses- 234.00- 376.22- 756.36- 934.87- 881.50
Pre-tax profit1 518.04978.0558.35- 593.58- 385.80
Income taxes- 344.04- 243.92-27.69114.1179.76
Net earnings1 174.00734.1330.66- 479.47- 306.03

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters27 616.1127 163.3927 890.9028 849.9428 743.63
Machinery and equipment563.78783.541 023.891 798.691 661.75
Tangible assets total28 179.8927 946.9228 914.7830 648.6230 405.37
Investments total
Long term receivables total
Raw materials and consumables30.2530.25143.48117.58142.67
Inventories total30.2530.25143.48117.58142.67
Current trade debtors724.77623.96670.28773.64617.34
Current amounts owed by group member comp.151.076 117.89
Prepayments and accrued income260.65153.90407.55131.79191.26
Current other receivables14.6722.15195.81181.16157.93
Current deferred tax assets85.85223.49233.36
Short term receivables total1 151.176 917.901 359.491 310.081 199.88
Cash and bank deposits143.5019.1526.4076.64797.38
Cash and cash equivalents143.5019.1526.4076.64797.38
Balance sheet total (assets)29 504.8234 914.2330 444.1532 152.9232 545.31

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital1 000.001 000.001 000.001 000.001 000.00
Shares repurchased9 600.00
Retained earnings18 730.7210 304.7211 038.8511 069.5110 590.03
Profit of the financial year1 174.00734.1330.66- 479.47- 306.03
Shareholders equity total20 904.7221 638.8512 069.5111 590.0311 284.00
Provisions240.95381.42494.96604.34757.93
Non-current loans from credit institutions5 660.419 703.159 372.478 955.668 503.42
Non-current liabilities total5 660.419 703.159 372.478 955.668 503.42
Current loans from credit institutions737.01631.30687.06436.39479.68
Advances received147.57612.75626.63707.09186.91
Current trade creditors411.30676.63751.71552.93658.15
Current owed to group member250.004 008.557 346.048 912.07
Short-term deferred tax liabilities99.15105.14
Other non-interest bearing current liabilities1 053.701 164.982 433.271 960.421 763.15
Current liabilities total2 698.743 190.818 507.2211 002.8811 999.96
Balance sheet total (liabilities)29 504.8234 914.2330 444.1532 152.9232 545.31
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