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LIFT & LØFT ApS — Credit Rating and Financial Key Figures

CVR number: 36075279
Guldalderen 36, Fløng 2640 Hedehusene
mads@liftogloft.dk
tel: 70702233
liftogloft.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit11 728.0013 909.0016 156.0019 526.7420 573.94
Employee benefit expenses-3 302.00-3 509.00-4 368.00-5 271.16-6 289.96
Other operating expenses- 119.00
Total depreciation-5 816.00-5 577.00-5 921.00-7 518.23-7 839.42
EBIT2 491.004 823.005 867.006 737.366 444.56
Other financial income28.0021.0053.0039.1167.75
Other financial expenses- 388.00- 387.00- 355.00- 521.15- 432.20
Pre-tax profit2 131.004 457.005 565.006 255.316 080.12
Income taxes- 471.00- 737.00-1 236.00-1 401.52-1 357.41
Net earnings1 660.003 720.004 329.004 853.794 722.71

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings16 122.0011 023.0017 351.00
Machinery and equipment2 307.004 249.0023 361.7025 672.09
Tangible assets total18 429.0015 272.0017 351.0023 361.7025 672.09
Investments total749.001 944.00
Non-current other receivables659.00
Long term receivables total659.00
Inventories total
Current trade debtors4 064.006 307.005 989.006 680.257 129.53
Current amounts owed by group member comp.197.00216.006.0020.781 428.00
Prepayments and accrued income49.0043.0059.0041.73131.64
Current other receivables377.00181.00249.0085.8317.26
Short term receivables total4 687.006 747.006 303.006 828.608 706.42
Cash and bank deposits3 917.006 115.006 389.005 796.745 779.45
Cash and cash equivalents3 917.006 115.006 389.005 796.745 779.45
Balance sheet total (assets)27 033.0028 134.0030 702.0036 736.0442 101.97

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital300.00300.00300.00300.00300.00
Shares repurchased500.001 000.002 500.002 200.00
Retained earnings7 496.008 155.009 375.0011 504.2316 358.02
Profit of the financial year1 660.003 720.004 329.004 853.794 722.71
Shareholders equity total9 956.0013 175.0016 504.0018 858.0221 380.73
Provisions922.00807.001 120.001 201.10673.58
Non-current leasing loans7 363.004 847.004 732.007 319.9710 174.70
Non-current other liabilities55.0059.0070.00
Non-current liabilities total7 418.004 906.004 732.007 319.9710 244.70
Current loans from credit institutions5 012.003 445.003 823.002 825.323 490.68
Advances received43.4657.35
Current trade creditors1 318.002 557.001 413.003 062.923 057.91
Current owed to participating1 232.0037.8961.57
Current owed to group member625.00757.63
Short-term deferred tax liabilities546.00853.00923.001 320.241 884.92
Other non-interest bearing current liabilities1 861.001 159.001 562.001 309.511 040.52
Accruals and deferred income210.00
Current liabilities total8 737.009 246.008 346.009 356.969 802.95
Balance sheet total (liabilities)27 033.0028 134.0030 702.0036 736.0442 101.97
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