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AIRTJEK ApS — Credit Rating and Financial Key Figures

CVR number: 28867581
Korden 6, 8751 Gedved
info@airtjek.dk
tel: 86543435
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit28 061.6327 376.7215 320.1315 587.5319 757.19
Employee benefit expenses-22 724.72-24 560.29-16 969.32-17 381.02-15 815.32
Total depreciation- 441.78- 334.47- 395.62- 436.73- 339.41
EBIT4 895.132 481.96-2 044.81-2 230.223 602.46
Other financial income27.57308.83351.57136.60176.74
Other financial expenses- 171.00- 270.95- 141.35- 186.12- 245.61
Pre-tax profit4 751.702 519.84-1 834.59-2 279.743 533.58
Income taxes-1 055.51- 558.60398.90507.50- 783.16
Net earnings3 696.191 961.24-1 435.69-1 772.242 750.43

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Machinery and equipment853.481 311.12937.681 483.48694.97
Advance payments and construction in progress2 000.00
Tangible assets total2 853.481 311.12937.681 483.48694.97
Investments total
Long term receivables total
Raw materials and consumables3 638.632 817.352 206.533 099.513 938.60
Inventories total3 638.632 817.352 206.533 099.513 938.60
Current trade debtors15 191.3312 768.427 360.789 255.279 265.26
Current amounts owed by group member comp.16.238 122.492 610.833 954.255 150.99
Prepayments and accrued income116.95122.4497.06118.50
Current other receivables4 819.014 021.482 046.261 639.831 634.35
Current deferred tax assets96.82115.10
Short term receivables total20 026.5725 029.3412 237.1315 061.5116 169.10
Cash and bank deposits7 680.093 026.601 573.6648.8354.12
Cash and cash equivalents7 680.093 026.601 573.6648.8354.12
Balance sheet total (assets)34 198.7732 184.4216 954.9919 693.3320 856.79

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital125.00125.00125.00125.00125.00
Shares repurchased6 700.002 200.00
Retained earnings12 700.059 696.2411 657.4810 221.796 249.55
Profit of the financial year3 696.191 961.24-1 435.69-1 772.242 750.43
Shareholders equity total16 521.2418 482.4810 346.798 574.5511 324.98
Provisions741.39694.48392.40535.00
Non-current liabilities total
Current loans from credit institutions1 678.9598.32
Advances received104.11201.5552.12123.91818.55
Current trade creditors9 818.608 597.193 694.845 868.815 437.10
Current owed to group member920.55505.81662.02122.75
Short-term deferred tax liabilities1 030.15605.51133.06
Other non-interest bearing current liabilities5 062.743 097.402 468.852 785.092 387.04
Current liabilities total16 936.1413 007.466 215.8011 118.788 996.81
Balance sheet total (liabilities)34 198.7732 184.4216 954.9919 693.3320 856.79
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