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TRINITY HOTEL OG KONFERENCECENTER A/S — Credit Rating and Financial Key Figures

CVR number: 12812930
Gl. Færgevej 30, Snoghøj 7000 Fredericia
regnskab@trinity.dk
tel: 82271727
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit29 618.2444 087.8833 438.2435 331.1432 622.46
Employee benefit expenses-28 046.88-34 307.50-28 542.79-28 490.09-27 149.56
Other operating expenses-1 470.83
Total depreciation-2 355.06-3 320.43-2 417.71-2 412.39-2 853.25
EBIT- 783.706 459.942 477.744 428.661 148.81
Other financial income0.4214.4581.0492.0748.85
Other financial expenses-73.31- 163.72- 214.42- 246.23- 197.38
Pre-tax profit- 856.586 310.682 344.364 274.501 000.28
Income taxes175.55-1 393.47- 514.34- 934.90- 228.56
Net earnings- 681.044 917.201 830.023 339.60771.72

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights358.81283.53208.27133.00
Intangible assets total358.81283.53208.27133.00
Buildings6 275.955 897.435 393.366 084.584 977.62
Machinery and equipment8 676.487 846.228 069.647 622.679 884.77
Advance payments and construction in progress775.00
Tangible assets total14 952.4313 743.6514 238.0013 707.2514 862.39
Investments total
Deferred tax assets364.88270.06138.91196.551 113.81
Long term receivables total364.88270.06138.91196.551 113.81
Raw materials and consumables874.53721.12672.25906.33542.56
Inventories total874.53721.12672.25906.33542.56
Current trade debtors2 962.201 732.103 007.153 263.992 392.55
Current amounts owed by group member comp.8 181.3910 329.408 730.8410 181.509 993.50
Prepayments and accrued income1 312.51514.431 073.692 094.46853.28
Current other receivables610.801 048.57823.80731.981 036.02
Short term receivables total13 066.9013 624.5013 635.4816 271.9314 275.34
Cash and bank deposits37.1341.4543.7337.5335.59
Cash and cash equivalents37.1341.4543.7337.5335.59
Balance sheet total (assets)29 295.8728 759.5929 011.9131 327.8530 962.69

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital8 000.008 000.008 000.008 000.008 000.00
Retained earnings3 802.403 121.368 038.579 868.5813 208.18
Profit of the financial year- 681.044 917.201 830.023 339.60771.72
Shareholders equity total11 121.3616 038.5617 868.5821 208.1821 979.90
Non-current deferred tax liabilities2 146.94
Non-current liabilities total2 146.94
Current loans from credit institutions40.5238.8875.5991.61
Advances received4 507.992 203.272 720.861 911.051 583.62
Current trade creditors2 127.092 298.182 882.722 580.752 005.46
Current owed to group member4 161.551 904.951 981.252 127.332 307.29
Short-term deferred tax liabilities1 704.55383.19992.541 145.82
Other non-interest bearing current liabilities4 303.523 796.862 518.461 969.191 540.47
Accruals and deferred income927.42772.69617.96463.24308.51
Current liabilities total16 027.5712 721.0311 143.3310 119.678 982.79
Balance sheet total (liabilities)29 295.8728 759.5929 011.9131 327.8530 962.69
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