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KARISE KLEINSMEDIE ApS — Credit Rating and Financial Key Figures

CVR number: 26654882
Håndværkervej 7, 4652 Hårlev
karisekleinsmedie@e-regnskab.dk
tel: 56789561
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit5 870.586 044.236 140.256 491.236 532.46
Employee benefit expenses-4 612.19-4 583.33-4 606.10-5 092.44-4 933.50
Total depreciation- 101.13- 101.74-96.02-31.17-45.14
EBIT1 157.261 359.161 438.131 367.631 553.82
Other financial income0.674.3914.281.24
Other financial expenses-68.39-44.64-14.67-7.86-9.85
Pre-tax profit1 088.861 315.191 427.851 374.041 545.20
Income taxes- 245.47- 294.51- 323.14- 310.79- 354.29
Net earnings843.391 020.681 104.711 063.251 190.91

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings129.6364.81
Machinery and equipment74.4337.5173.51102.34154.82
Tangible assets total204.06102.3273.51102.34154.82
Investments total
Non-current other receivables91.2291.2291.2291.2291.22
Long term receivables total91.2291.2291.2291.2291.22
Raw materials and consumables129.50127.36123.29121.24193.40
Inventories total129.50127.36123.29121.24193.40
Current trade debtors2 018.871 721.712 199.001 364.742 381.38
Prepayments and accrued income175.35223.19178.23320.43214.82
Current other receivables315.92100.00204.0343.31
Short term receivables total2 510.142 044.902 581.261 685.172 639.51
Cash and bank deposits1 495.651 958.902 326.211 604.36895.08
Cash and cash equivalents1 495.651 958.902 326.211 604.36895.08
Balance sheet total (assets)4 430.574 324.725 195.493 604.333 974.03

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital250.00250.00250.00250.00250.00
Shares repurchased700.00300.00300.001 300.001 100.00
Other reserves-1 000.00- 700.00
Retained earnings122.73666.12686.80491.51454.76
Profit of the financial year843.391 020.681 104.711 063.251 190.91
Shareholders equity total1 916.122 236.802 341.512 104.762 295.67
Provisions74.4864.8639.2372.1056.13
Non-current other liabilities48.7548.7548.75
Non-current deferred tax liabilities48.7548.75
Non-current liabilities total48.7548.7548.7548.7548.75
Advances received70.59561.0047.00
Current trade creditors502.92441.41654.51289.11482.56
Current owed to group member459.02
Short-term deferred tax liabilities260.70304.13348.76277.93286.26
Other non-interest bearing current liabilities1 081.731 212.521 185.03764.68804.65
Accruals and deferred income16.2516.2516.69
Current liabilities total2 391.221 974.312 765.991 378.721 573.47
Balance sheet total (liabilities)4 430.574 324.725 195.493 604.333 974.03
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