Retreal 4 Aarhus ApS — Credit Rating and Financial Key Figures
Credit rating
Company information
About Retreal 4 Aarhus ApS
Retreal 4 Aarhus ApS (CVR number: 37783218) is a company from KØBENHAVN. The company recorded a gross profit of 4960.2 kDKK in 2024. The operating profit was 11.4 mDKK, while net earnings were -443.2 kDKK. The profitability of the company measured by Return on Assets (ROA) was 9.3 %, which can be considered good but Return on Equity (ROE) was -0.6 %, which can be considered poor. The equity ratio, a key indicator for solidity, stood at -39.2 %. This indicates that the company's debt surpasses the value of its total assets, posing significant financial risk. Retreal 4 Aarhus ApS's liquidity measured by quick ratio was 0 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 financialsGross profit (kDKK)
EBIT (kDKK)
Profitability
Solidity
Key figures (kDKK)
See financials2020 | 2021 | 2022 | 2023 | 2024 | |
---|---|---|---|---|---|
Volume | |||||
Net sales | |||||
Gross profit | 8 842.99 | 1 688.03 | 21 389.09 | -86 868.57 | 4 960.17 |
EBIT | 16 842.99 | 1 688.03 | 21 064.09 | - 171 204.71 | 11 370.57 |
Net earnings | 6 253.18 | 205.67 | 12 379.55 | -86 448.13 | - 443.19 |
Shareholders equity total | 24 953.14 | 25 158.81 | 37 538.36 | -48 909.78 | -49 352.96 |
Balance sheet total (assets) | 75 908.77 | 119 052.71 | 155 252.81 | 68 712.46 | 76 701.60 |
Net debt | 40 540.27 | 88 746.31 | 101 496.47 | 112 689.58 | 124 917.21 |
Profitability | |||||
EBIT-% | |||||
ROA | 23.9 % | 1.7 % | 15.4 % | -125.5 % | 9.3 % |
ROE | 28.8 % | 0.8 % | 39.5 % | -162.7 % | -0.6 % |
ROI | 25.7 % | 1.8 % | 15.5 % | -126.2 % | 9.4 % |
Economic value added (EVA) | 10 143.27 | -2 178.01 | 10 527.87 | - 167 797.44 | 4 647.53 |
Solvency | |||||
Equity ratio | 32.9 % | 21.1 % | 24.2 % | -41.6 % | -39.2 % |
Gearing | 171.6 % | 358.4 % | 296.3 % | -239.4 % | -254.6 % |
Relative net indebtedness % | |||||
Liquidity | |||||
Quick ratio | 0.4 | 0.0 | 0.2 | 0.1 | 0.0 |
Current ratio | 0.4 | 0.0 | 0.2 | 0.1 | 0.0 |
Cash and cash equivalents | 2 277.66 | 1 421.05 | 9 721.73 | 4 390.79 | 744.13 |
Capital use efficiency | |||||
Trade debtors turnover (days) | |||||
Net working capital % | |||||
Credit risk | |||||
Credit rating | A | BBB | A | B | BBB |
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