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TEXAS ANDREAS PETERSEN A/S — Credit Rating and Financial Key Figures

CVR number: 66212319
Knullen 22, Højby 5260 Odense S
tel: 63955558
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit70 064.8053 153.2551 648.9263 663.7876 691.27
Costs of management-10 018.72-10 329.48-9 169.63-8 270.85-8 638.55
Costs of distribution-38 742.29-41 006.26-45 013.22-42 848.52-52 095.55
EBIT21 303.781 817.50-2 533.9312 544.4115 957.17
Other financial income0.062 951.400.620.18
Other financial expenses-1 086.59-2 200.61-3 762.20-1 903.25-3 851.91
Pre-tax profit20 217.252 568.29-6 295.5210 641.3312 105.26
Income taxes-4 449.69- 566.941 132.71-2 419.46-2 584.42
Net earnings15 767.562 001.35-5 162.808 221.879 520.84

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure2 612.21
Intangible rights3 611.272 937.30
Intangible assets total2 612.213 611.272 937.30
Buildings3 665.694 009.002 516.311 347.34513.82
Machinery and equipment64.15342.46637.94
Advance payments and construction in progress340.5275.40
Tangible assets total4 070.364 084.402 516.311 689.801 151.76
Investments total
Deferred tax assets736.95911.002 070.07180.09422.01
Long term receivables total736.95911.002 070.07180.09422.01
Finished products/goods70 161.63119 560.9356 568.7648 341.3774 930.14
Advance payments13 426.453 852.67867.541 549.533 035.31
Inventories total83 588.08123 413.5957 436.3149 890.9077 965.45
Current trade debtors12 693.565 841.727 569.7312 374.508 570.72
Current amounts owed by group member comp.8 075.894 273.361 449.044 095.777.18
Current other receivables10 032.98556.311 092.39297.34366.42
Short term receivables total30 802.4210 671.3910 111.1616 767.628 944.31
Cash and bank deposits7 896.426 394.232 455.197 990.401 153.03
Cash and cash equivalents7 896.426 394.232 455.197 990.401 153.03
Balance sheet total (assets)127 094.23145 474.6277 201.2580 130.0892 573.86

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital1 000.001 000.001 000.001 000.001 000.00
Shares repurchased15 000.005 000.009 000.00
Other reserves- 790.89- 600.64
Retained earnings27 471.7241 556.5843 899.4033 736.6032 577.96
Profit of the financial year15 767.562 001.35-5 162.808 221.879 520.84
Shareholders equity total59 239.2944 557.9339 736.6047 167.5751 498.16
Provisions2 800.002 500.002 300.002 300.002 450.00
Non-current deferred tax liabilities5 510.83266.3896.31
Non-current liabilities total5 510.83266.3896.31
Current loans from credit institutions5 551.9541 048.70168.41
Current trade creditors22 277.338 996.805 814.8411 261.4212 741.01
Current owed to group member24 170.1545 034.3422 815.7012 163.6718 420.75
Short-term deferred tax liabilities2 446.52
Other non-interest bearing current liabilities5 098.173 070.476 437.817 237.417 295.53
Current liabilities total59 544.1298 150.3135 068.3530 662.5138 625.71
Balance sheet total (liabilities)127 094.23145 474.6277 201.2580 130.0892 573.86
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