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SPEEDLINE A/S — Credit Rating and Financial Key Figures

CVR number: 30551869
Sverigesvej 9 C, 8660 Skanderborg
info@speedline.dk
tel: 86511137
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit16 897.8516 445.1917 373.6922 586.4129 392.84
Employee benefit expenses-13 849.81-13 747.37-12 779.00-13 623.59-15 118.67
Other operating expenses-6.33-18.31-39.22
Total depreciation- 375.21- 355.27- 897.13-1 039.93-1 156.51
EBIT2 666.502 324.243 658.347 922.8913 117.66
Other financial income108.2086.0059.2065.600.03
Other financial expenses- 157.53- 471.97- 934.11- 810.35- 530.38
Pre-tax profit2 617.181 938.272 783.437 178.1412 587.31
Income taxes- 570.77- 350.21- 561.90-1 534.65-2 735.41
Net earnings2 046.411 588.072 221.535 643.499 851.89

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings677.18456.22295.38134.5414.80
Machinery and equipment600.769 516.788 904.2210 120.889 265.57
Tangible assets total1 277.949 973.009 199.6010 255.429 280.38
Investments total1 810.001 810.001 810.001 800.001 800.00
Long term receivables total
Finished products/goods24 651.3827 558.6025 152.6824 947.4929 208.29
Inventories total24 651.3827 558.6025 152.6824 947.4929 208.29
Current trade debtors545.81571.44693.75899.94769.87
Current amounts owed by group member comp.5 949.401 530.052 512.781 413.38
Prepayments and accrued income993.1177.35163.4382.997.16
Current other receivables73.91112.10191.58
Current deferred tax assets24.45103.5395.93
Short term receivables total7 512.782 282.373 539.792 508.41968.61
Cash and bank deposits150.12117.44166.731 327.791 291.68
Cash and cash equivalents150.12117.44166.731 327.791 291.68
Balance sheet total (assets)35 402.2141 741.4139 868.8140 839.1142 548.96

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital715.00715.00715.00715.00715.00
Shares repurchased6 300.006 000.00
Other reserves-2 300.00
Retained earnings3 957.156 003.567 591.623 513.153 156.64
Profit of the financial year2 046.411 588.072 221.535 643.499 851.89
Shareholders equity total6 718.568 306.6210 528.1513 871.6419 723.53
Provisions429.29637.12826.50910.71
Non-current loans from credit institutions7 848.887 014.136 622.12
Non-current liabilities total7 848.887 014.136 622.12
Current loans from credit institutions9 012.3711 322.398 310.482 731.992 883.01
Current trade creditors11 345.858 630.997 826.8210 594.849 560.15
Current owed to participating3 765.713 892.313 715.582 319.183 235.98
Current owed to group member11.002.252.25555.28
Short-term deferred tax liabilities605.35828.262 651.20
Other non-interest bearing current liabilities3 943.381 308.681 834.283 044.593 029.09
Current liabilities total28 683.6625 156.6121 689.4119 518.8621 914.72
Balance sheet total (liabilities)35 402.2141 741.4139 868.8140 839.1142 548.96
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