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Rich. Frederiksen & Co. ApS — Credit Rating and Financial Key Figures

CVR number: 40548270
Hvissingevej 102, 2600 Glostrup
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit1 467.401 570.80736.011 706.501 964.37
Employee benefit expenses-66.98-70.67-67.29-60.00-60.00
Total depreciation- 601.54- 429.99- 480.71- 408.04- 408.04
EBIT2 001.961 070.14188.011 238.461 496.33
Other financial income20 787.6914 508.8631 870.5528 875.4217 769.38
Other financial expenses-86.40-64 829.41- 956.46-3 932.17-4 248.96
Net income from associates (fin.)84.23
Pre-tax profit22 703.24-49 250.4131 102.1026 265.9415 016.75
Income taxes-4 991.1710 838.76-6 842.46-5 974.31-3 299.38
Net earnings17 712.07-38 411.6524 259.6420 291.6311 717.37

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters35 135.2631 708.2731 227.56
Buildings30 819.5230 411.48
Tangible assets total35 135.2631 708.2731 227.5630 819.5230 411.48
Participating interests62.5062.50
Investments total62.5062.50
Long term receivables total
Inventories total
Current trade debtors21.171 023.188.379.7224.93
Current other receivables530 947.5813 114.7314 956.742 484.062 430.29
Current deferred tax assets5 103.8615 316.276 057.651 080.87212.99
Short term receivables total536 072.6229 454.1821 022.763 574.642 668.21
Other current investments202 409.81613 474.48134 136.7122 354.1123 435.54
Cash and bank deposits1 806.6711 275.87523 833.59723 642.04733 982.15
Cash and cash equivalents204 216.48624 750.34657 970.30745 996.14757 417.69
Balance sheet total (assets)775 424.36685 975.30710 283.12780 390.31790 497.39

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital400.00400.00400.00400.00400.00
Asset revaluation reserve4 341.854 341.854 341.85
Shares repurchased114.40117.80122.00135.00158.80
Retained earnings701 508.48719 102.76680 569.10709 035.59729 168.43
Profit of the financial year17 712.07-38 411.6524 259.6420 291.6311 717.37
Shareholders equity total724 076.81685 550.76709 692.59729 862.23741 444.60
Provisions923.261 102.24
Non-current other liabilities240.64210.64365.91374.91393.51
Non-current liabilities total240.64210.64365.91374.91393.51
Current trade creditors26.2551.9650.5277.4185.70
Current owed to participating50 000.00
Other non-interest bearing current liabilities157.41161.94174.1050 075.7747 471.35
Current liabilities total50 183.66213.90224.6250 153.1847 557.05
Balance sheet total (liabilities)775 424.36685 975.30710 283.12780 390.31790 497.39
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