KÖSTER DANMARK ApS — Credit Rating and Financial Key Figures

CVR number: 15707232
Lundsbjerg Industrivej 29, 6200 Aabenraa
tel: 64813696

Company information

Official name
KÖSTER DANMARK ApS
Personnel
2 persons
Established
1992
Company form
Private limited company
Industry

About KÖSTER DANMARK ApS

KÖSTER DANMARK ApS (CVR number: 15707232) is a company from AABENRAA. The company recorded a gross profit of 349.5 kDKK in 2025. The operating profit was 349.5 kDKK, while net earnings were 246.5 kDKK. The profitability of the company measured by Return on Assets (ROA) was 10.5 %, which can be considered good and Return on Equity (ROE) was 12.4 %, which can be considered good. The equity ratio, a key indicator for solidity, stood at 14.5 %, a level that can be considered to be very low. This means the company is highly leveraged, with most assets financed through debt. This high level of financial risk could pose challenges in periods of financial distress or rising interest rates. KÖSTER DANMARK ApS's liquidity measured by quick ratio was 0.3 which is at a very low level. Thus, the company is in an unstable financial position, with its liquid assets significantly undermatching its current liabilities. This severe liquidity deficiency may lead to financial distress and threaten the company's operational continuity.

Financial information

See financials

Gross profit (kDKK)

EBIT (kDKK)

Profitability

Solidity

Key figures (kDKK)

See financials
2021
2022
2023
2024
2025
Volume
Net sales
Gross profit1 809.572 444.392 225.991 729.14349.53
EBIT897.201 536.761 329.931 008.02349.53
Net earnings737.971 257.661 105.11808.65246.46
Shareholders equity total3 506.204 025.903 873.353 576.89386.46
Balance sheet total (assets)5 499.605 254.214 657.344 026.262 665.41
Net debt-2 044.40-2 195.92-1 482.11-1 314.431 713.50
Profitability
EBIT-%
ROA19.2 %30.1 %28.7 %24.0 %10.5 %
ROE22.5 %33.4 %28.0 %21.7 %12.4 %
ROI29.4 %43.0 %36.0 %27.9 %11.9 %
Economic value added (EVA)536.121 016.97829.02587.6992.91
Solvency
Equity ratio63.8 %76.6 %83.2 %88.8 %14.5 %
Gearing508.3 %
Relative net indebtedness %
Liquidity
Quick ratio1.52.43.04.60.3
Current ratio2.84.35.99.01.2
Cash and cash equivalents2 044.402 195.921 482.111 314.43250.93
Capital use efficiency
Trade debtors turnover (days)
Net working capital %
Credit risk
Credit ratingBBBBBBBBBBBBBB

Variable visualization

ROA:10.5%
Rating: 59/100
-20%
0%
4%
11%
24%
60%
Graph showing the distribution of the variable
Equity ratio:14.5%
Rating: 14/100
-1%
21%
50%
81%
99%
100%
Graph showing the distribution of the variable

Roles

Board member
Chairman of the board

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