TÆRØ ApS — Credit Rating and Financial Key Figures
CVR number: 34476233
Buskelundskoven 30, 8600 Silkeborg
kk@krygerdevelopment.dk
Income statement (kDKK)
2020 | 2021 | 2022 | 2023 | 2024 | |
---|---|---|---|---|---|
Fiscal period length | 12 | 12 | 12 | 12 | 12 |
Net sales | |||||
Gross profit | 958.14 | 1 493.02 | 1 396.69 | 2 059.20 | 1 833.10 |
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 assets | 3 066.30 | 645.00 | - 135.00 | 360.00 | |
EBIT | 459.78 | 3 828.30 | 1 517.84 | 1 494.20 | 1 673.46 |
Other financial income | 40.15 | 5.53 | 4.92 | 2.68 | 3.21 |
Other financial expenses | - 329.70 | - 473.40 | - 593.30 | - 868.24 | -1 214.39 |
Pre-tax profit | 170.23 | 3 360.43 | 929.46 | 628.64 | 462.28 |
Income taxes | -38.34 | - 741.17 | - 211.22 | - 130.80 | -99.72 |
Net earnings | 131.89 | 2 619.26 | 718.24 | 497.84 | 362.56 |
Assets (kDKK)
2020 | 2021 | 2022 | 2023 | 2024 | |
---|---|---|---|---|---|
Intangible assets total | |||||
Land and waters | 20 452.50 | 21 144.06 | 23 382.83 | 23 304.42 | 31 057.02 |
Buildings | 39 093.70 | 42 160.00 | 42 805.00 | 42 670.00 | 43 030.00 |
Machinery and equipment | 77.48 | 50.55 | 24.73 | 72.00 | |
Advance payments and construction in progress | 4 810.76 | 8 109.59 | 7 989.10 | 7 902.61 | |
Tangible assets total | 64 434.43 | 71 464.20 | 74 201.65 | 73 877.03 | 74 159.02 |
Investments total | |||||
Non-current loans receivable | 2.50 | 2.50 | 2.50 | 2.50 | |
Long term receivables total | 2.50 | 2.50 | 2.50 | 2.50 | |
Finished products/goods | 18.00 | 18.00 | 18.00 | 50.00 | 50.00 |
Inventories total | 18.00 | 18.00 | 18.00 | 50.00 | 50.00 |
Current trade debtors | 691.28 | 545.88 | 309.38 | 81.25 | 279.81 |
Current amounts owed by group member comp. | 3 061.00 | ||||
Prepayments and accrued income | 53.00 | 39.24 | 44.08 | 44.41 | 7.44 |
Current other receivables | 311.11 | 232.12 | 47.85 | 0.03 | 0.05 |
Short term receivables total | 4 116.39 | 817.25 | 401.31 | 125.69 | 287.31 |
Cash and bank deposits | 0.07 | 67.16 | 785.24 | ||
Cash and cash equivalents | 0.07 | 67.16 | 785.24 | ||
Balance sheet total (assets) | 68 571.38 | 72 369.11 | 74 623.46 | 74 840.46 | 74 496.33 |
Equity and liabilities (kDKK)
2020 | 2021 | 2022 | 2023 | 2024 | |
---|---|---|---|---|---|
Share capital | 80.00 | 80.00 | 80.00 | 80.00 | 80.00 |
Retained earnings | 8 714.31 | 8 846.20 | 11 465.46 | 12 183.70 | 12 681.54 |
Profit of the financial year | 131.89 | 2 619.26 | 718.24 | 497.84 | 362.56 |
Shareholders equity total | 8 926.20 | 11 545.46 | 12 263.70 | 12 761.54 | 13 124.10 |
Provisions | 79.58 | 757.52 | 908.70 | 867.97 | 934.18 |
Non-current loans from credit institutions | 39 513.70 | 39 224.79 | 38 941.38 | 38 755.32 | 38 549.63 |
Non-current liabilities total | 39 513.70 | 39 224.79 | 38 941.38 | 38 755.32 | 38 549.63 |
Current loans from credit institutions | 5 394.09 | 287.30 | 2 301.58 | 299.56 | 379.53 |
Current trade creditors | 649.19 | 148.75 | 103.87 | 85.13 | 142.24 |
Current owed to participating | 50.72 | 50.72 | 50.72 | ||
Current owed to group member | 12 850.48 | 19 230.45 | 18 977.29 | 20 855.64 | 20 301.45 |
Short-term deferred tax liabilities | 60.04 | 171.27 | 33.21 | ||
Other non-interest bearing current liabilities | 1 158.15 | 1 174.84 | 1 016.19 | 993.32 | 981.27 |
Current liabilities total | 20 051.91 | 20 841.33 | 22 509.68 | 22 455.63 | 21 888.42 |
Balance sheet total (liabilities) | 68 571.38 | 72 369.11 | 74 623.46 | 74 840.46 | 74 496.33 |
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