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TÆPPE & GULVHUSET ApS — Credit Rating and Financial Key Figures

CVR number: 27974856
Løgstørvej 53, 9600 Aars
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit6 160.495 823.945 804.254 789.185 401.26
Employee benefit expenses-3 374.67-3 623.97-3 852.31-3 200.60-3 632.09
Total depreciation- 235.95- 226.75- 183.12- 115.56- 123.18
EBIT2 549.871 973.221 768.821 473.021 645.99
Other financial income16.8468.45
Other financial expenses-33.99-81.92- 133.40- 159.45-32.69
Pre-tax profit2 515.881 891.301 652.271 382.011 613.29
Income taxes- 554.55- 417.08- 364.32- 304.77- 356.44
Net earnings1 961.331 474.221 287.951 077.241 256.86

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Machinery and equipment381.77155.03282.49461.88338.69
Tangible assets total381.77155.03282.49461.88338.69
Investments total
Non-current other receivables234.62393.59192.83187.4874.86
Long term receivables total234.62393.59192.83187.4874.86
Finished products/goods1 563.231 302.941 194.191 005.27880.24
Inventories total1 563.231 302.941 194.191 005.27880.24
Current trade debtors1 685.611 287.481 131.791 049.891 555.88
Current amounts owed by group member comp.59.842 111.82113.8822.86
Prepayments and accrued income83.2874.7083.8440.6666.03
Current other receivables153.10301.5011.270.01
Short term receivables total1 921.991 723.523 338.721 204.431 644.78
Cash and bank deposits734.48925.881 520.731 656.971 844.61
Cash and cash equivalents734.48925.881 520.731 656.971 844.61
Balance sheet total (assets)4 836.094 500.946 528.974 516.024 783.18

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital125.00125.00125.00125.00125.00
Shares repurchased1 961.33974.22787.951 077.241 256.86
Retained earnings-1 086.33-99.22587.05797.76618.14
Profit of the financial year1 961.331 474.221 287.951 077.241 256.86
Shareholders equity total2 961.332 474.222 787.953 077.243 256.86
Provisions28.707.804.8014.9055.60
Non-current leasing loans148.14246.99124.62
Non-current liabilities total148.14246.99124.62
Current loans from credit institutions75.7345.90112.70122.40
Current trade creditors265.7197.83259.49311.65207.23
Current owed to group member200.12718.472 138.875.43
Short-term deferred tax liabilities573.55437.98367.32294.67315.74
Other non-interest bearing current liabilities730.95764.65776.50457.87695.30
Current liabilities total1 846.072 018.923 588.081 176.881 346.10
Balance sheet total (liabilities)4 836.094 500.946 528.974 516.024 783.18
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