TÆRØ ApS — Credit Rating and Financial Key Figures

CVR number: 34476233
Buskelundskoven 30, 8600 Silkeborg
kk@krygerdevelopment.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit958.141 493.021 396.692 059.201 833.10
Employee benefit expenses- 423.00- 645.66- 439.59- 326.87- 354.13
Total depreciation-75.36-85.36-84.26- 103.13- 165.51
Reduction in value of non-current assets3 066.30645.00- 135.00360.00
EBIT459.783 828.301 517.841 494.201 673.46
Other financial income40.155.534.922.683.21
Other financial expenses- 329.70- 473.40- 593.30- 868.24-1 214.39
Pre-tax profit170.233 360.43929.46628.64462.28
Income taxes-38.34- 741.17- 211.22- 130.80-99.72
Net earnings131.892 619.26718.24497.84362.56

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters20 452.5021 144.0623 382.8323 304.4231 057.02
Buildings39 093.7042 160.0042 805.0042 670.0043 030.00
Machinery and equipment77.4850.5524.7372.00
Advance payments and construction in progress4 810.768 109.597 989.107 902.61
Tangible assets total64 434.4371 464.2074 201.6573 877.0374 159.02
Investments total
Non-current loans receivable2.502.502.502.50
Long term receivables total2.502.502.502.50
Finished products/goods18.0018.0018.0050.0050.00
Inventories total18.0018.0018.0050.0050.00
Current trade debtors691.28545.88309.3881.25279.81
Current amounts owed by group member comp.3 061.00
Prepayments and accrued income53.0039.2444.0844.417.44
Current other receivables311.11232.1247.850.030.05
Short term receivables total4 116.39817.25401.31125.69287.31
Cash and bank deposits0.0767.16785.24
Cash and cash equivalents0.0767.16785.24
Balance sheet total (assets)68 571.3872 369.1174 623.4674 840.4674 496.33

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital80.0080.0080.0080.0080.00
Retained earnings8 714.318 846.2011 465.4612 183.7012 681.54
Profit of the financial year131.892 619.26718.24497.84362.56
Shareholders equity total8 926.2011 545.4612 263.7012 761.5413 124.10
Provisions79.58757.52908.70867.97934.18
Non-current loans from credit institutions39 513.7039 224.7938 941.3838 755.3238 549.63
Non-current liabilities total39 513.7039 224.7938 941.3838 755.3238 549.63
Current loans from credit institutions5 394.09287.302 301.58299.56379.53
Current trade creditors649.19148.75103.8785.13142.24
Current owed to participating50.7250.7250.72
Current owed to group member12 850.4819 230.4518 977.2920 855.6420 301.45
Short-term deferred tax liabilities60.04171.2733.21
Other non-interest bearing current liabilities1 158.151 174.841 016.19993.32981.27
Current liabilities total20 051.9120 841.3322 509.6822 455.6321 888.42
Balance sheet total (liabilities)68 571.3872 369.1174 623.4674 840.4674 496.33
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