TRAVEL HOUSE GROUP A/S — Credit Rating and Financial Key Figures

CVR number: 89969328
Rønnegade 1, 2100 København Ø
tigr@profilrejser.dk
tel: 77335501
www.profilrejser.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit3 390.002 739.003 531.002 450.002 101.00
Employee benefit expenses-2 932.00-2 797.00-2 859.00-3 426.00-3 674.00
Total depreciation- 313.00- 260.00- 216.00- 237.00- 252.00
EBIT145.00- 318.00456.00-1 213.00-1 825.00
Other financial income407.00406.00291.00438.00402.00
Other financial expenses- 501.00- 564.00- 561.00- 892.00- 746.00
Net income from associates (fin.)-6 196.00-12 654.002 888.00- 993.00-3 051.00
Pre-tax profit-6 145.00-13 130.003 074.00-2 660.00-5 220.00
Income taxes-11.00105.00-41.00367.00477.00
Net earnings-6 156.00-13 025.003 033.00-2 293.00-4 743.00

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure50.0063.0023.0050.00
Intangible rights157.0087.00
Intangible assets total157.00137.0063.0023.0050.00
Buildings384.00270.00247.00313.00213.00
Machinery and equipment52.00264.00194.00
Tangible assets total436.00270.00247.00577.00407.00
Investments total761.00765.00775.00812.00992.00
Non-curr. owed by group member comp.4 668.004 668.008 668.008 668.004 668.00
Long term receivables total4 668.004 668.008 668.008 668.004 668.00
Inventories total
Current trade debtors19.00
Current amounts owed by group member comp.1 148.001 271.004 383.001 527.001 620.00
Prepayments and accrued income1 030.001 037.00728.001 034.00693.00
Current other receivables365.00321.00329.00345.00312.00
Current deferred tax assets2 631.002 682.002 561.002 928.003 345.00
Short term receivables total5 174.005 311.008 001.005 853.005 970.00
Cash and bank deposits6.00106.0029.00
Cash and cash equivalents6.00106.0029.00
Balance sheet total (assets)11 196.0011 157.0017 754.0016 039.0012 116.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital3 600.003 600.003 600.003 600.003 600.00
Other reserves39.0049.0018.0040.00
Retained earnings-22 252.00-28 447.00-41 482.00-29 418.00-9 183.00
Profit of the financial year-6 156.00-13 025.003 033.00-2 293.00-4 743.00
Shareholders equity total-24 808.00-37 833.00-34 800.00-28 093.00-10 286.00
Provisions4 190.0016 844.0013 956.005 949.00
Capital loans16 548.0016 548.0020 548.0020 548.003 000.00
Non-current owed to group member3 500.003 500.003 500.003 500.003 500.00
Non-current other liabilities189.00193.00
Non-current deferred tax liabilities163.00170.00175.00
Non-current liabilities total20 237.0020 241.0024 211.0024 218.006 675.00
Current trade creditors1 164.00172.00282.00411.00967.00
Current owed to group member9 583.0011 189.0013 593.0012 912.0013 643.00
Other non-interest bearing current liabilities830.00544.00512.00642.001 117.00
Current liabilities total11 577.0011 905.0014 387.0013 965.0015 727.00
Balance sheet total (liabilities)11 196.0011 157.0017 754.0016 039.0012 116.00
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