Kristinelyst ApS — Credit Rating and Financial Key Figures

CVR number: 36936398
Elhøjvej 33, Fajstrup 8471 Sabro
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit2 336.146 501.615 346.771 791.753 437.58
Employee benefit expenses-6.00-8.91-6.00-6.00-6.00
Other operating expenses-29.84-21.43-1 200.13
Total depreciation- 847.59- 953.30-1 185.90-1 100.94-1 066.93
EBIT1 482.545 539.404 125.03663.391 164.52
Other financial income4.953.737.17126.08216.38
Other financial expenses- 343.16- 337.11- 453.47- 932.05-1 126.58
Pre-tax profit1 144.335 206.023 678.72- 142.58254.32
Income taxes-81.79- 924.26- 719.0927.271 279.70
Net earnings1 062.544 281.762 959.64- 115.311 534.02

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights7.441.72
Intangible assets total7.441.72
Land and waters48 691.4046 313.2845 611.5845 305.0145 452.24
Buildings5 728.848 357.6613 331.8011 095.8210 639.23
Tangible assets total54 420.2354 670.9458 943.3856 400.8356 091.47
Investments total
Non-current loans receivable61.7198.11122.06158.04147.95
Long term receivables total61.7198.11122.06158.04147.95
Semifinished products41.9757.00
Raw materials and consumables156.9025.00171.71307.02184.10
Finished products/goods1 734.661 487.072 381.002 180.001 310.00
Inventories total1 933.521 569.072 552.712 487.021 494.10
Current trade debtors34.06482.87520.9264.8335.43
Current amounts owed by group member comp.69.8593.61189.79292.43376.72
Current other receivables1 797.00483.965 184.4977.162 282.22
Short term receivables total1 900.911 060.445 895.19434.432 694.37
Other current investments4 404.604 497.37
Cash and bank deposits21.647 343.44407.18227.600.01
Cash and cash equivalents21.647 343.44407.184 632.214 497.38
Balance sheet total (assets)58 345.4564 743.7267 920.5264 112.5264 925.27

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital250.00250.00250.00250.00250.00
Share premium account18 940.9318 940.9318 940.9318 940.9318 940.93
Retained earnings1 050.212 112.756 394.519 354.159 238.83
Profit of the financial year1 062.544 281.762 959.64- 115.311 534.02
Shareholders equity total21 303.6725 585.4428 545.0728 429.7629 963.78
Provisions2 851.403 628.574 323.744 296.473 016.77
Non-current loans from credit institutions27 714.3326 346.0826 555.6026 091.9125 598.23
Non-current owed to group member3 622.973 596.914 029.684 306.22
Non-current other liabilities3 383.29
Non-current liabilities total31 097.6229 969.0530 152.5230 121.6029 904.46
Current loans from credit institutions2 258.941 530.991 207.971 072.051 214.61
Current trade creditors297.533 719.993 551.61167.52791.71
Short-term deferred tax liabilities147.0923.91
Other non-interest bearing current liabilities525.44162.59115.6925.1227.20
Accruals and deferred income10.866.75
Current liabilities total3 092.775 560.674 899.191 264.692 040.27
Balance sheet total (liabilities)58 345.4564 743.7267 920.5264 112.5264 925.27
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