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Hotel Skt. Annæ ApS — Credit Rating and Financial Key Figures

CVR number: 27207448
Sankt Annæ Plads 18, 1250 København K
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales35 379.36
Other operating income244.88
Purchases during the financial year-6 858.27
External services-13 889.01
Gross profit-37.1114 876.9622 564.9821 916.7722 455.38
Employee benefit expenses-6 222.32-13 447.64-14 805.99-14 860.37
Total depreciation- 496.35- 328.69- 245.88- 401.24
EBIT-37.118 158.298 788.656 864.897 193.77
Other financial income36.50245.35221.9151.55
Other financial expenses-1.83- 131.93-89.08- 111.67-30.33
Net income from associates (fin.)- 290.53- 679.38-24.41447.48
Pre-tax profit- 329.477 383.488 920.517 422.617 214.99
Income taxes298.894 376.81-1 925.02-1 838.97-1 268.27
Net earnings-30.5811 760.296 995.495 583.655 946.72

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings324.00358.94423.902 202.29
Machinery and equipment647.44509.09421.411 387.74
Tangible assets total971.44868.03845.313 590.03
Investments total
Long term receivables total
Finished products/goods45.0045.0045.0092.11
Inventories total45.0045.0045.0092.11
Current trade debtors1 598.55932.42354.561 554.90
Current amounts owed by group member comp.5 179.609 245.2512 417.131 139.84
Prepayments and accrued income744.534 621.92999.51778.61
Current other receivables10.0010.00
Current deferred tax assets4 097.188 474.126 549.103 145.241 876.96
Short term receivables total4 097.1816 006.8121 358.7116 916.455 350.32
Cash and bank deposits250.3812 572.234 121.64969.4715 698.86
Cash and cash equivalents250.3812 572.234 121.64969.4715 698.86
Balance sheet total (assets)4 347.5529 595.4826 393.3818 776.2224 731.32

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital300.00300.00300.00300.00300.00
Shares repurchased3 000.0010 000.002 000.006 000.00
Retained earnings269.83-2 760.76-1 000.473 995.023 578.67
Profit of the financial year-30.5811 760.296 995.495 583.655 946.72
Shareholders equity total539.2512 299.5316 295.0211 878.6715 825.39
Provisions470.94428.69431.45
Non-current other liabilities6 014.86
Non-current liabilities total6 014.86
Advances received523.991 466.1767.91827.83
Current trade creditors2 075.341 352.752 043.703 679.81
Current owed to group member3 318.263 318.263 068.262 944.78
Other non-interest bearing current liabilities19.114 934.806 847.981 717.681 453.51
Current liabilities total3 337.3710 852.399 666.906 897.558 905.93
Balance sheet total (liabilities)4 347.5529 595.4826 393.3818 776.2224 731.32
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