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ANF ENTERPRISES ApS — Credit Rating and Financial Key Figures

CVR number: 27587445
Skindergade 7, 1159 København K
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit- 641.70-1 264.60-2 809.53-2 729.17- 910.22
Employee benefit expenses- 800.60- 790.79-3 373.70- 802.49- 640.94
Total depreciation-17.32-60.29-60.29-60.29-60.29
EBIT-1 459.63-2 115.69-6 243.52-3 591.95-1 611.46
Other financial income18 094.5718 747.7318 035.799 616.9210 867.61
Other financial expenses-10 167.70-14 465.24-13 981.23-3 696.80-8 050.29
Reduction non-current investment assets-46 703.60-1 216.19
Income from other inv. held as non-curr. assets-44.831 773.951 820.92
Net income from associates (fin.)35 032.7258 246.7724 546.92-10 801.55-37 939.32
Pre-tax profit41 455.1462 187.5322 357.97-55 176.98-36 128.73
Income taxes-1 440.06-1 853.53555.47- 430.45
Net earnings40 015.0860 333.9922 913.44-55 607.43-36 128.73

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment1 348.041 842.761 832.471 772.171 723.74
Tangible assets total1 348.041 842.761 832.471 772.171 723.74
Holdings in group member companies28 604.5568 560.1774 029.6352 919.2830 078.33
Participating interests103 213.2187 977.23102 153.4487 916.4582 019.16
Investments total131 817.76156 537.40176 183.07140 835.73112 097.49
Non-curr. owed by group member comp.12 105.7341 237.9548 757.2641 382.6048 309.49
Non-curr. owed by particip. interest comp.61 380.1264 582.1462 102.4169 318.4374 998.35
Non-current loans receivable83 804.0388 589.7475 032.40113 538.15114 813.98
Non-current other receivables76 851.0283 152.07103 730.359 080.4914 269.82
Long term receivables total234 140.90277 561.89289 622.42233 319.66252 391.65
Inventories total
Current amounts owed by group member comp.3 955.641 611.986 540.035 408.80
Current owed by particip. interest comp.14 565.6320 986.6737 890.7415 078.622 872.53
Prepayments and accrued income112.1926.18
Current other receivables259.27438.39112.892 069.97328.58
Current deferred tax assets43.919.02654.12286.14133.84
Short term receivables total14 868.8225 389.7240 381.9323 974.768 769.94
Other current investments45 013.0238 312.6840 694.9528 671.2226 723.02
Cash and bank deposits322.671 696.23240.24253.5923.48
Cash and cash equivalents45 335.6840 008.9140 935.2028 924.8026 746.50
Balance sheet total (assets)427 511.20501 340.68548 955.08428 827.13401 729.31

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00125.00
Shares repurchased57.204 000.002 600.003 000.00
Other reserves73 736.52122 885.60133 385.69135 509.95106 691.54
Retained earnings256 432.92247 241.72293 075.63311 264.80281 475.79
Profit of the financial year40 015.0860 333.9922 913.44-55 607.43-36 128.73
Shareholders equity total370 309.52430 643.51453 499.75393 892.33355 163.60
Provisions16.00103.53
Non-current deferred tax liabilities17 144.8319 091.3544.08
Non-current liabilities total17 144.8319 091.3544.08
Current loans from credit institutions24 167.8127 997.1455 380.5233 662.9245 363.14
Current trade creditors37.011.073.14
Current owed to participating4 423.635 072.20856.351 006.261 156.40
Short-term deferred tax liabilities201.031 237.331 409.737.697.69
Other non-interest bearing current liabilities11 211.3617 194.5337 764.66254.7838.49
Current liabilities total40 040.8451 502.2895 411.2534 934.8046 565.72
Balance sheet total (liabilities)427 511.20501 340.68548 955.08428 827.13401 729.31
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