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ART/DESIGN A/S — Credit Rating and Financial Key Figures

CVR number: 14482946
Marielundvej 18, 2730 Herlev
info@art-design.dk
tel: 44912120
www.art-design.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit9 878.047 356.6312 111.559 059.397 967.85
Employee benefit expenses-8 030.20-6 357.55-7 532.79-6 341.79-6 563.45
Other operating expenses-84.04
Total depreciation- 841.45- 831.29-1 111.94-1 746.55- 260.23
EBIT1 006.39167.793 382.78971.041 144.18
Other financial income2.182.402.5434.42213.17
Other financial expenses- 163.79-74.22-50.12- 157.62-72.84
Pre-tax profit844.7895.973 335.20847.851 284.52
Income taxes- 191.61-25.52- 782.98- 185.18- 280.92
Net earnings653.1770.452 552.22662.671 003.60

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights521.85415.71
Intangible assets total521.85415.71
Buildings455.32257.375 167.144 294.98
Machinery and equipment1 891.821 345.41805.44275.92158.24
Other tangible assets120.47120.4795.6795.6795.67
Tangible assets total2 467.621 723.266 068.264 666.57253.91
Investments total
Long term receivables total
Raw materials and consumables206.18378.83290.76466.21456.09
Advance payments149.47
Inventories total206.18378.83290.76466.21605.55
Current trade debtors1 701.833 057.764 529.055 048.635 843.41
Current amounts owed by group member comp.90.91816.66588.461 644.606 169.08
Prepayments and accrued income122.96145.81232.04476.98702.48
Current other receivables1 344.49804.551 658.811 221.801 511.28
Current deferred tax assets95.41116.3889.62170.34
Short term receivables total3 355.604 941.167 008.378 481.6314 396.60
Other current investments7.089.4810.1610.7118.32
Cash and bank deposits3 971.031 728.75561.742 988.037 031.20
Cash and cash equivalents3 978.101 738.23571.902 998.747 049.53
Balance sheet total (assets)10 007.508 781.4813 939.3017 135.0122 721.30

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Retained earnings2 627.543 280.723 351.175 903.396 566.06
Profit of the financial year653.1770.452 552.22662.671 003.60
Shareholders equity total3 780.723 851.176 403.397 066.068 069.66
Provisions40.98315.79767.04
Non-current leasing loans1 139.47729.81314.82
Non-current other liabilities210.08210.08210.08
Non-current deferred tax liabilities210.08166.98
Non-current liabilities total1 349.55939.88524.90210.08166.98
Advances received581.341 699.64500.001 285.002 221.00
Current trade creditors477.32758.661 068.181 640.642 741.62
Current owed to group member1 874.2064.162 426.193 239.73
Short-term deferred tax liabilities161.8546.49625.62
Other non-interest bearing current liabilities1 782.521 421.482 350.051 866.913 544.54
Accruals and deferred income1 510.805 210.46
Current liabilities total4 877.233 990.436 970.029 543.0813 717.62
Balance sheet total (liabilities)10 007.508 781.4813 939.3017 135.0122 721.30
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