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Buddy's Auto & Transport ApS — Credit Rating and Financial Key Figures

CVR number: 38675893
Silovej 42, Karlstrup 2690 Karlslunde
Buddysautotransportservice@gmail.com
tel: 28407562
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit3 506.754 496.344 515.8410 328.4011 905.00
Employee benefit expenses-2 522.79-3 403.28-3 433.53-7 769.53-7 943.41
Other operating expenses-8.05
Total depreciation- 284.31- 421.79- 448.79- 382.59- 311.28
EBIT691.60671.27633.522 176.273 650.31
Other financial income56.8638.0818.984.9315.15
Other financial expenses-18.14-26.65-40.76-42.85-7.04
Pre-tax profit730.31682.71611.752 138.353 658.41
Income taxes- 195.95- 195.61- 112.65- 481.88- 805.46
Net earnings534.36487.09499.101 656.462 852.96

Assets (kDKK)

2021
2022
2023
2024
2025
Goodwill446.75248.2049.64
Intangible assets total446.75248.2049.64
Machinery and equipment791.53808.46801.40937.403 132.65
Tangible assets total791.53808.46801.40937.403 132.65
Investments total78.8078.8078.8078.80884.80
Long term receivables total
Finished products/goods219.69410.89409.56422.561 230.49
Inventories total219.69410.89409.56422.561 230.49
Current trade debtors440.89269.46521.022 214.322 555.19
Current amounts owed by group member comp.3 655.75323.531 011.25
Prepayments and accrued income28.9833.7415.5837.24
Current other receivables3 768.2957.8041.949.970.08
Current deferred tax assets90.64
Short term receivables total4 238.164 016.75902.063 272.792 645.90
Cash and bank deposits128.8492.98776.402 457.56
Cash and cash equivalents128.8492.98776.402 457.56
Balance sheet total (assets)5 903.785 563.102 334.445 487.9410 351.42

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital50.0050.0050.0050.0050.00
Shares repurchased114.403 700.001 100.00
Retained earnings3 560.87395.23882.32281.421 937.88
Profit of the financial year534.36487.09499.101 656.462 852.96
Shareholders equity total4 259.634 632.321 431.423 087.884 840.84
Provisions10.4424.4018.9527.7128.90
Non-current leasing loans1 880.88
Non-current deferred tax liabilities38.6350.65184.03473.12894.91
Non-current liabilities total38.6350.65184.03473.122 775.79
Current loans from credit institutions82.24248.5643.65184.031 044.02
Current trade creditors173.38141.49178.45168.51259.16
Current owed to group member117.28118.45123.85133.53
Short-term deferred tax liabilities65.92
Other non-interest bearing current liabilities1 273.53348.41359.501 422.841 269.18
Current liabilities total1 595.08855.73700.051 899.232 705.89
Balance sheet total (liabilities)5 903.785 563.102 334.445 487.9410 351.42
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