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STRANDGAARDEN WINE & SPIRITS A/S — Credit Rating and Financial Key Figures

CVR number: 28161212
Aa.Louis-Hansens Alle 5, 3060 Espergærde
tel: 49226800
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit12 486.5111 434.5613 412.1110 475.298 355.42
Employee benefit expenses-10 179.06-12 960.71-13 407.22-12 701.50-12 952.74
Total depreciation- 980.86-1 074.08-1 223.75-1 215.17-1 285.58
EBIT1 326.59-2 600.23-1 218.86-3 441.38-5 882.89
Other financial income4.701.09
Other financial expenses- 187.69- 308.20- 920.56-1 112.99- 776.51
Pre-tax profit1 143.59-2 907.34-2 139.42-4 554.38-6 659.40
Income taxes- 256.81631.34463.22996.181 460.93
Net earnings886.78-2 276.01-1 676.20-3 558.19-5 198.47

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights6 994.276 091.78123.4264.184.94
Goodwill441.67341.67241.67
Intangible assets total6 994.276 533.45465.09305.854.94
Machinery and equipment237.00380.32370.57209.64160.72
Tangible assets total237.00380.32370.57209.64160.72
Other non-current investments5 189.304 286.813 384.32
Investments total5 189.304 286.813 384.32
Long term receivables total
Finished products/goods16 054.0718 944.7221 889.6818 849.4115 816.38
Inventories total16 054.0718 944.7221 889.6818 849.4115 816.38
Current trade debtors14 036.2514 511.8615 454.4814 673.4515 358.16
Prepayments and accrued income419.00273.13303.58200.47445.37
Current other receivables393.8854.95
Current deferred tax assets327.38419.301 179.16
Short term receivables total14 849.1314 839.9516 085.4515 293.2216 982.69
Cash and bank deposits16.224.947.1914.6813.57
Cash and cash equivalents16.224.947.1914.6813.57
Balance sheet total (assets)38 150.6840 703.3844 007.2838 959.6136 362.62

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital751.88751.88751.88751.88751.88
Retained earnings17 345.0718 231.8415 955.8414 279.6310 721.44
Profit of the financial year886.78-2 276.01-1 676.20-3 558.19-5 198.47
Shareholders equity total18 983.7216 707.7215 031.5111 473.326 274.85
Provisions1 490.85859.51858.65281.77
Non-current liabilities total
Current loans from credit institutions487.966 285.489 183.7510 125.2710 285.73
Current trade creditors10 768.2711 403.1613 494.559 990.2911 728.07
Current owed to group member2 156.092 199.492 177.064 584.605 237.31
Other non-interest bearing current liabilities4 263.783 248.033 261.752 504.362 836.67
Current liabilities total17 676.1023 136.1528 117.1127 204.5330 087.77
Balance sheet total (liabilities)38 150.6840 703.3844 007.2838 959.6136 362.62
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