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FONDEN KOLDING HOTEL APARTMENTS — Credit Rating and Financial Key Figures

CVR number: 16351938
Kedelsmedgangen 2, 6000 Kolding
tel: 75541802
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit8 989.6910 140.0010 756.7612 503.569 856.94
Employee benefit expenses-6 278.52-6 485.13-6 904.57-7 206.37-6 970.65
Total depreciation- 747.82- 815.81- 872.79-1 072.34-1 351.29
EBIT1 963.342 839.072 979.404 224.851 535.00
Other financial income1.065.596.1243.1039.92
Other financial expenses- 806.49-1 292.98- 513.34-1 160.13-1 369.85
Income from other inv. held as non-curr. assets338.25195.54474.40416.67
Pre-tax profit1 496.171 747.222 946.573 524.50205.07
Income taxes- 338.23- 380.96- 655.70- 800.76-48.31
Net earnings1 157.941 366.262 290.872 723.75156.76

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters75 992.1977 772.6981 225.6280 420.1683 161.33
Machinery and equipment293.71517.661 055.03926.091 906.77
Advance payments and construction in progress280.40190.042 765.14141.98
Tangible assets total76 566.3078 480.3982 280.6584 111.3985 210.09
Investments total9.709.709.709.709.70
Non-current loans receivable8 061.134 922.745 361.73
Long term receivables total8 061.134 922.745 361.73
Finished products/goods60.7343.2743.0334.9435.20
Inventories total60.7343.2743.0334.9435.20
Current trade debtors512.00198.78155.75154.68
Prepayments and accrued income176.69268.87202.96133.20170.70
Current other receivables211.6231.00264.4642.0142.25
Current deferred tax assets27.2816.627.7915.56
Short term receivables total927.59515.28630.95190.77367.63
Cash and bank deposits2 604.072 934.13136.385 859.063 900.53
Cash and cash equivalents2 604.072 934.13136.385 859.063 900.53
Balance sheet total (assets)88 229.5286 905.4988 462.4490 205.8689 523.15

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital300.00300.00300.00300.00300.00
Other reserves1 800.001 800.001 800.001 800.001 800.00
Retained earnings41 499.9342 657.8644 024.1346 315.0049 038.75
Profit of the financial year1 157.941 366.262 290.872 723.75156.76
Shareholders equity total44 757.8746 124.1348 415.0051 138.7551 295.50
Provisions3 806.604 187.564 843.285 644.045 692.35
Non-current loans from credit institutions34 377.8033 119.1831 972.6030 845.7729 678.55
Non-current other liabilities32.5034.5034.2534.2534.25
Non-current liabilities total34 410.3033 153.6832 006.8530 880.0229 712.80
Current loans from credit institutions1 255.801 285.421 512.841 131.911 167.21
Current trade creditors978.59869.22802.62790.45978.43
Other non-interest bearing current liabilities3 020.381 285.48881.86620.70676.84
Current liabilities total5 254.763 440.123 197.312 543.062 822.49
Balance sheet total (liabilities)88 229.5286 905.4988 462.4490 205.8689 523.15
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