ARCH RE UNDERWRITING ApS — Credit Rating and Financial Key Figures

CVR number: 30194284
Frederiksgade 19, 1265 København K
tel: 36944056
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit23 152.0025 610.0032 262.0047 660.0048 193.00
Employee benefit expenses-13 893.00-22 344.00-25 203.00-26 010.00-37 056.00
Other operating expenses- 294.00
Total depreciation- 158.00- 153.00- 129.00-57.00-57.00
EBIT9 101.003 113.006 930.0021 299.0011 080.00
Other financial income247.0038.001.00554.00821.00
Other financial expenses- 325.00- 770.00- 719.00- 340.00- 364.00
Pre-tax profit9 023.002 381.006 212.0021 513.0011 537.00
Income taxes-1 170.00- 617.00-1 407.00-4 802.00-2 234.00
Net earnings7 853.001 764.004 805.0016 711.009 303.00

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment400.00247.00117.0059.002.00
Tangible assets total400.00247.00117.0059.002.00
Investments total
Non-current loans receivable15 236.0015 057.0014 596.00
Non-current other receivables240.00240.00240.00269.00271.00
Long term receivables total15 476.0015 297.0014 836.00269.00271.00
Inventories total
Current amounts owed by group member comp.712.005 330.0011 029.0027 410.0044 765.00
Prepayments and accrued income48.0084.00480.001 094.00
Current other receivables371.0077.00
Current deferred tax assets16.004 070.00
Short term receivables total776.005 785.0011 509.0028 504.0048 912.00
Other current investments29 039.0029 783.00
Cash and bank deposits21 889.0019 606.0019 237.009 678.001 178.00
Cash and cash equivalents21 889.0019 606.0019 237.0038 717.0030 961.00
Balance sheet total (assets)38 541.0040 935.0045 699.0067 549.0080 146.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital135.00135.00135.00135.00135.00
Share premium account119.00119.00119.00119.00119.00
Retained earnings21 168.0029 021.0030 785.0035 590.0052 301.00
Profit of the financial year7 853.001 764.004 805.0016 711.009 303.00
Shareholders equity total29 275.0031 039.0035 844.0052 555.0061 858.00
Non-current other liabilities1 684.00
Non-current liabilities total1 684.00
Current trade creditors180.00340.00
Current owed to group member1 256.002 947.00695.003 356.005 601.00
Short-term deferred tax liabilities1 170.00572.001 224.002 531.00
Other non-interest bearing current liabilities5 156.006 377.007 936.008 927.0012 347.00
Current liabilities total7 582.009 896.009 855.0014 994.0018 288.00
Balance sheet total (liabilities)38 541.0040 935.0045 699.0067 549.0080 146.00
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