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Kynde og Toft A/S — Credit Rating and Financial Key Figures

CVR number: 41142111
Sydhalevej 6, 7680 Thyborøn
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit37 012.4333 871.6322 117.8257 596.6652 990.94
Employee benefit expenses-32 192.74-32 783.39-31 660.64-32 695.94-35 734.42
Other operating expenses- 231.27
Total depreciation-3 038.53-3 567.92-13 505.44-8 859.71- 935.33
EBIT1 781.16-2 479.68-23 048.2616 041.0116 089.92
Other financial income101.4460.86355.14
Other financial expenses-1 441.14-1 655.57-2 325.31-2 661.62- 989.73
Reduction non-current investment assets-3 094.52
Net income from associates (fin.)26.32
Pre-tax profit340.01-4 135.25-28 366.6513 466.5815 455.33
Income taxes-54.86920.181 332.27308.96-3 282.98
Net earnings285.15-3 215.07-27 034.3813 775.5412 172.35

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure2 749.282 770.851 456.13
Intangible rights913.84979.71425.56259.70
Goodwill17 764.9415 544.335 000.00
Intangible assets total20 514.2219 229.017 435.83425.56259.70
Land and waters10 953.859 827.029 619.309 411.589 203.86
Buildings1 084.21935.711 102.06470.37395.32
Machinery and equipment2 696.332 220.601 617.43617.41207.61
Tangible assets total14 734.3912 983.3412 338.7910 499.359 806.78
Participating interests1 491.241 491.24150.00
Investments total1 491.241 491.24150.00
Long term receivables total
Semifinished products133.64
Raw materials and consumables11 022.4012 163.076 703.004 859.146 476.94
Finished products/goods9 920.768 346.704 378.003 630.043 255.45
Advance payments2 926.24
Inventories total20 943.1520 509.7711 081.0011 549.079 732.39
Current trade debtors19 771.3613 116.6818 145.4911 862.5411 060.62
Current amounts owed by group member comp.12.5037.50191.81
Current owed by particip. interest comp.2 438.181 776.232 586.19
Prepayments and accrued income788.81839.881 049.75798.221 218.04
Current other receivables11 389.5310 302.133 175.718 220.314 812.69
Current deferred tax assets604.84130.64308.96812.48
Short term receivables total35 005.2326 203.0622 562.7621 190.0320 490.03
Cash and bank deposits8.058.477.288 939.9827 929.41
Cash and cash equivalents8.058.477.288 939.9827 929.41
Balance sheet total (assets)92 696.2880 424.8853 575.6652 603.9968 218.30

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital5 000.005 000.005 000.005 000.005 000.00
Shares repurchased10 000.00
Other reserves2 144.432 161.271 915.78
Retained earnings10 986.5111 364.638 395.05-1 723.562 051.98
Profit of the financial year285.15-3 215.07-27 034.3813 775.5412 172.35
Shareholders equity total18 416.1015 310.82-11 723.5617 051.9829 224.33
Provisions2 314.171 332.272 500.00
Capital loans2 500.002 500.00
Non-current loans from credit institutions25 704.0718 914.9114 505.61
Non-current leasing loans989.69805.71618.49426.98232.73
Non-current other liabilities3 741.28
Non-current deferred tax liabilities3 696.383 570.933 741.467 607.56
Non-current liabilities total30 435.0423 417.0118 695.036 668.4410 340.28
Current loans from credit institutions21 354.2725 596.6224 968.909 904.049 003.18
Advances received265.92323.566 910.501 954.36
Current trade creditors12 524.449 678.9216 335.458 143.499 254.78
Current owed to participating1 593.60645.00
Other non-interest bearing current liabilities5 293.283 671.184 950.213 925.545 941.37
Accruals and deferred income499.46449.51349.63
Current liabilities total41 530.9740 364.7846 604.1828 883.5826 153.69
Balance sheet total (liabilities)92 696.2880 424.8853 575.6652 603.9968 218.30
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