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RUSTFRI DK DESIGN ApS — Credit Rating and Financial Key Figures

CVR number: 20995246
Nøjsomhedsvej 1, 4900 Nakskov
tel: 54932129
www.rustfri.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit32 451.0135 420.9230 272.1225 206.7424 131.41
Employee benefit expenses-26 304.89-28 687.23-25 297.03-22 566.49-21 039.83
Other operating expenses-79.00
Total depreciation- 294.09- 256.89- 428.77- 450.50- 427.30
EBIT5 773.046 476.804 546.322 189.752 664.28
Other financial income130.9637.56118.56128.03119.12
Other financial expenses- 285.43- 209.23- 345.29- 211.96- 221.03
Pre-tax profit5 618.576 305.134 319.592 105.822 562.37
Income taxes-1 240.60-1 399.75- 947.23- 473.74- 564.14
Net earnings4 377.984 905.383 372.361 632.081 998.22

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters3 770.457 217.556 974.196 730.826 487.45
Machinery and equipment203.54391.68565.52402.24218.31
Tangible assets total3 973.987 609.237 539.717 133.066 705.77
Investments total121.18122.46125.0358.5058.50
Long term receivables total
Semifinished products63.33625.73485.68609.61137.57
Raw materials and consumables7 953.0311 560.079 161.9113 742.218 299.38
Finished products/goods309.60120.58796.2241.1469.95
Inventories total8 325.9612 306.3910 443.8014 392.968 506.90
Current trade debtors8 354.028 690.547 780.147 831.018 090.84
Prepayments and accrued income115.65411.10138.35372.60401.06
Current other receivables1 434.51279.32167.99126.84410.08
Short term receivables total9 904.199 380.968 086.488 330.448 901.98
Cash and bank deposits4 153.21762.782 918.581 982.633 398.24
Cash and cash equivalents4 153.21762.782 918.581 982.633 398.24
Balance sheet total (assets)26 478.5230 181.8129 113.6031 897.6027 571.38

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital167.00167.00167.00167.00167.00
Shares repurchased4 500.003 500.00
Retained earnings5 534.169 912.1411 317.5214 689.8716 321.95
Profit of the financial year4 377.984 905.383 372.361 632.081 998.22
Shareholders equity total14 579.1414 984.5218 356.8716 488.9518 487.18
Provisions280.83326.70321.21316.22293.28
Non-current other liabilities614.69614.69614.69614.69614.69
Non-current liabilities total614.69614.69614.69614.69614.69
Current trade creditors3 081.023 227.102 246.685 614.652 813.89
Current owed to group member201.465 397.612 698.284 659.941 435.52
Short-term deferred tax liabilities1 276.311 353.88952.73478.73587.08
Other non-interest bearing current liabilities6 445.084 270.443 886.283 656.743 275.59
Accruals and deferred income6.8836.8667.6864.16
Current liabilities total11 003.8614 255.909 820.8314 477.758 176.25
Balance sheet total (liabilities)26 478.5230 181.8129 113.6031 897.6027 571.38
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