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Stella Maris Hotel de Luxe A/S — Credit Rating and Financial Key Figures

CVR number: 25886623
Kogtvedvænget 3, 5700 Svendborg
tel: 65560100
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit3 339.1112 159.8112 795.4614 581.1113 533.09
Employee benefit expenses-3 312.28-9 385.67-11 101.44-11 755.01-10 382.85
Total depreciation- 531.22-1 578.03-1 732.31-1 375.54-1 505.44
EBIT- 504.391 196.11-38.291 450.571 644.81
Other financial expenses- 481.22-1 110.45-1 718.54-2 358.03-1 446.17
Pre-tax profit- 985.6185.66-1 756.83- 907.46198.64
Income taxes180.69478.14390.60200.40-51.13
Net earnings- 804.92563.81-1 366.24- 707.06147.51

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters50 208.5349 897.2449 838.2050 884.7250 529.83
Machinery and equipment5 658.004 901.014 591.074 129.043 606.09
Advance payments and construction in progress33.9883.9625.0025.00
Tangible assets total55 866.5354 832.2454 513.2355 038.7654 160.92
Investments total
Long term receivables total
Raw materials and consumables464.13706.66710.47845.71850.27
Inventories total464.13706.66710.47845.71850.27
Current trade debtors895.58360.45350.62431.8232.29
Current amounts owed by group member comp.22.264.5910.79
Prepayments and accrued income10.59122.5887.4682.00178.39
Current other receivables60.0148.15168.3272.816.26
Current deferred tax assets208.76649.301 039.89759.70708.57
Short term receivables total1 174.941 202.741 650.871 357.13925.51
Cash and bank deposits1 545.3169.6176.9765.8377.26
Cash and cash equivalents1 545.3169.6176.9765.8377.26
Balance sheet total (assets)59 050.9056 811.2456 951.5457 307.4356 013.95

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital725.00725.00725.00725.00725.00
Retained earnings- 616.75-1 421.67- 857.86-2 224.1017 068.84
Profit of the financial year- 804.92563.81-1 366.24- 707.06147.51
Shareholders equity total- 696.67- 132.86-1 499.10-2 206.1617 941.35
Non-current loans from credit institutions31 245.2626 303.7324 828.5123 353.3922 078.31
Non-current advances received44.54
Non-current liabilities total31 245.2626 303.7324 828.5123 397.9322 078.31
Current loans from credit institutions2 671.745 610.735 253.735 137.324 541.15
Advances received156.80598.391 243.411 344.921 103.52
Current trade creditors618.30950.421 048.78922.12587.38
Current owed to group member23 506.6520 760.7424 914.2927 804.398 507.30
Other non-interest bearing current liabilities1 060.722 380.601 161.92906.911 254.93
Accruals and deferred income488.11339.49
Current liabilities total28 502.3130 640.3733 622.1336 115.6615 994.29
Balance sheet total (liabilities)59 050.9056 811.2456 951.5457 307.4356 013.95
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