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Surfline butik ApS — Credit Rating and Financial Key Figures

CVR number: 33954794
Gåseagervej 12, 8250 Egå
tel: 86176765
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit15 487.688 265.168 237.497 372.197 135.16
Employee benefit expenses-8 992.86-5 717.13-5 936.83-5 842.85-5 993.87
Total depreciation- 491.19- 334.02- 538.07- 281.95- 372.16
EBIT6 003.632 214.001 762.591 247.39769.13
Other financial income118.75305.73910.19733.03602.94
Other financial expenses- 288.06-99.35- 264.05- 163.36- 319.62
Net income from associates (fin.)2 973.94
Pre-tax profit8 808.272 420.382 408.731 817.061 052.45
Income taxes-1 295.13- 550.93- 537.48- 408.38- 240.48
Net earnings7 513.151 869.451 871.261 408.69811.97

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights76.0072.0064.0056.00
Intangible assets total76.0072.0064.0056.00
Buildings1 646.491 512.561 123.891 016.951 022.70
Machinery and equipment436.74257.32208.50137.99575.70
Tangible assets total2 083.231 769.881 332.391 154.941 598.40
Holdings in group member companies2 473.77
Participating interests4 680.27
Investments total7 154.04
Non-current loans receivable22.5022.5022.5022.5022.50
Long term receivables total22.5022.5022.5022.5022.50
Finished products/goods15 159.8813 256.7219 456.6320 326.9818 456.93
Inventories total15 159.8813 256.7219 456.6320 326.9818 456.93
Current trade debtors253.85720.22296.4676.18488.98
Current amounts owed by group member comp.8 584.5216 976.7916 800.2217 884.4618 651.84
Current owed by particip. interest comp.90.3078.13117.82
Prepayments and accrued income39.0028.5028.5028.5028.50
Current other receivables175.021 254.781 095.37600.64190.11
Short term receivables total9 052.3918 980.2818 310.8418 667.9119 477.25
Cash and bank deposits34.9036.1471.0342.88251.94
Cash and cash equivalents34.9036.1471.0342.88251.94
Balance sheet total (assets)33 506.9434 141.5339 265.3840 279.2039 863.03

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital80.0080.0080.0080.0080.00
Shares repurchased500.001 000.00
Other reserves5 029.04- 500.00-1 000.00
Retained earnings7 975.2220 517.4121 886.8622 758.1224 166.80
Profit of the financial year7 513.151 869.451 871.261 408.69811.97
Shareholders equity total20 597.4122 466.8623 838.1224 246.8025 058.77
Provisions181.00171.00151.00168.00171.00
Non-current deferred tax liabilities1 234.13560.93557.48391.38237.48
Non-current liabilities total1 234.13560.93557.48391.38237.48
Current loans from credit institutions4 641.044 852.893 546.752 414.645 049.25
Advances received223.87288.39237.59212.53150.56
Current trade creditors1 186.272 176.105 093.287 060.842 817.81
Current owed to participating288.892 073.992 926.9717.88198.87
Current owed to group member204.0885.641 102.964 789.225 069.37
Short-term deferred tax liabilities1 785.091 234.13560.93557.48391.38
Other non-interest bearing current liabilities3 165.15231.601 250.30420.44718.54
Current liabilities total11 494.4010 942.7314 718.7915 473.0314 395.77
Balance sheet total (liabilities)33 506.9434 141.5339 265.3840 279.2039 863.03
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