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RD Breuning ApS — Credit Rating and Financial Key Figures

CVR number: 31636043
Vesterlundvej 15, 2730 Herlev
info@rd-b.dk
tel: 44910500
www.rdvvs.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit16 213.7116 595.1916 693.8320 480.8325 211.18
Employee benefit expenses-13 241.00-14 054.78-15 411.66-18 053.17-20 356.91
Total depreciation-76.85-76.85-76.85-77.30- 179.83
EBIT2 895.862 463.561 205.322 350.364 674.45
Other financial income25.393.771.906.295.56
Other financial expenses-27.78-46.01-20.38-8.91-80.22
Pre-tax profit2 893.472 421.321 186.832 347.734 599.78
Income taxes- 668.69- 546.73- 279.45- 553.24-1 055.83
Net earnings2 224.781 874.58907.381 794.493 543.95

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill330.00
Intangible assets total330.00
Buildings334.72278.94223.15167.36111.57
Machinery and equipment110.3789.3168.25100.131 238.77
Tangible assets total445.09368.25291.40267.491 350.34
Holdings in group member companies10 000.00
Investments total308.17308.17308.17308.1710 308.18
Long term receivables total
Raw materials and consumables400.00500.00500.00300.00300.00
Inventories total400.00500.00500.00300.00300.00
Current trade debtors7 016.009 063.108 667.8610 011.1210 590.26
Current amounts owed by group member comp.300.00
Prepayments and accrued income170.94112.24
Current other receivables3 367.673 319.422 738.383 169.402 103.91
Short term receivables total10 383.6712 382.5211 406.2413 351.4613 106.41
Cash and bank deposits1 265.591 224.752 663.032 829.715 513.42
Cash and cash equivalents1 265.591 224.752 663.032 829.715 513.42
Balance sheet total (assets)12 802.5214 783.6915 168.8417 056.8330 908.35

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00125.00
Shares repurchased4 857.465 000.00
Retained earnings2 224.784 099.366.751 801.24
Profit of the financial year2 224.781 874.58907.381 794.493 543.95
Shareholders equity total7 207.244 224.365 131.756 926.245 470.19
Provisions10.559.357.297.4258.18
Non-current loans from credit institutions6 572.82
Non-current liabilities total6 572.82
Current loans from credit institutions1 440.00
Current trade creditors1 081.591 516.711 496.242 031.133 465.90
Current owed to participating103.69103.69103.69103.6911.69
Current owed to group member5 120.045 218.494 023.608 342.52
Short-term deferred tax liabilities647.75547.93281.51553.101 005.07
Other non-interest bearing current liabilities3 751.713 261.612 929.873 411.634 541.97
Current liabilities total5 584.7310 549.9810 029.8010 123.1618 807.15
Balance sheet total (liabilities)12 802.5214 783.6915 168.8417 056.8330 908.35
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