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K/S CROFTFOOT — Credit Rating and Financial Key Figures

CVR number: 28659504
Slotsmarken 18, 2970 Hørsholm
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales2 131.082 336.092 263.772 317.812 323.28
External services- 304.61
Gross profit1 826.472 336.092 263.772 317.812 323.28
Other operating expenses- 330.10- 415.50- 244.95- 268.94
Reduction in value of non-current assets822.33-1 713.24- 164.001 456.70-1 471.05
EBIT2 648.812 005.991 848.282 072.862 054.34
Other financial income46.78998.6818.9025.63268.71
Other financial expenses- 940.49-1 059.71-2 066.34-1 807.28-1 241.45
Pre-tax profit1 755.09231.72- 363.161 747.90- 389.44
Net earnings1 755.09231.72- 363.161 747.90- 389.44

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings31 897.4430 184.2030 020.2031 476.9030 005.85
Tangible assets total31 897.4430 184.2030 020.2031 476.9030 005.85
Investments total
Long term receivables total
Inventories total
Current other receivables70.8115.5020.25
Short term receivables total70.8115.5020.25
Cash and bank deposits773.00694.96875.36703.51668.55
Cash and cash equivalents773.00694.96875.36703.51668.55
Balance sheet total (assets)32 670.4430 879.1630 966.3732 195.9130 694.65

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital12 000.0012 000.0012 000.0014 000.0015 000.00
Other restricted equity-1 695.42-1 695.42-1 695.42-3 695.42-4 695.42
Retained earnings-1 058.05697.04928.77565.602 313.51
Profit of the financial year1 755.09231.72- 363.161 747.90- 389.44
Shareholders equity total11 001.6211 233.3410 870.1812 618.0812 228.64
Non-current loans from credit institutions19 313.4417 947.3717 308.4916 121.88
Non-current owed to group member103.26
Non-current liabilities total19 416.7017 947.3717 308.4916 121.88
Current loans from credit institutions1 423.0018 616.921 114.561 451.061 524.17
Current trade creditors30.00
Other non-interest bearing current liabilities269.19506.09514.72273.94301.06
Accruals and deferred income529.93522.81519.55544.33518.89
Current liabilities total2 252.1219 645.822 148.822 269.332 344.12
Balance sheet total (liabilities)32 670.4430 879.1630 966.3732 195.9130 694.65
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