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DANROSES ApS — Credit Rating and Financial Key Figures

CVR number: 36484594
Ny Vestergade 20, Vejle 5672 Broby
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit4 650.862 457.771 836.682 802.612 142.91
Employee benefit expenses-1 357.05-1 642.62-1 666.62-1 738.66-1 806.66
Other operating expenses- 232.59- 122.24-84.88-50.23-39.63
Total depreciation- 150.22- 217.24- 152.32- 152.33- 152.33
EBIT2 911.00475.67-67.15861.39144.29
Other financial income0.3916.4418.15
Other financial expenses- 114.44- 172.95- 141.08- 103.36-92.28
Pre-tax profit2 796.56302.72- 207.84774.4870.16
Income taxes- 617.49-66.1046.00- 170.82-16.15
Net earnings2 179.07236.62- 161.84603.6654.01

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters343.30260.88
Buildings1 019.14816.99679.75
Machinery and equipment45.2530.17214.29144.39
Tangible assets total1 019.14862.24709.92557.59405.27
Participating interests15.7120.9026.0329.05
Investments total15.7120.9026.0329.05
Non-current other receivables108.00
Long term receivables total108.00
Raw materials and consumables930.181 353.261 270.581 206.051 581.99
Finished products/goods1 640.481 406.011 685.481 573.742 340.43
Inventories total2 570.662 759.272 956.062 779.793 922.43
Current trade debtors334.73619.12142.47168.45217.73
Current owed by particip. interest comp.162.32
Current other receivables784.7096.86108.74171.00263.82
Current deferred tax assets165.50
Short term receivables total1 119.42878.30251.21339.45647.05
Cash and bank deposits5 271.102 043.982 192.08863.62859.15
Cash and cash equivalents5 271.102 043.982 192.08863.62859.15
Balance sheet total (assets)10 088.326 559.506 130.174 566.485 862.95

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital50.0050.0050.0050.0050.00
Shares repurchased1 852.27400.00
Retained earnings-1 749.07430.00666.62104.78708.44
Profit of the financial year2 179.07236.62- 161.84603.6654.01
Shareholders equity total2 332.27716.62554.781 158.44812.45
Provisions97.0072.0026.0040.0020.00
Non-current other liabilities624.4991.10
Non-current deferred tax liabilities156.82
Non-current liabilities total624.4991.10156.82
Current trade creditors1 747.72990.62537.41277.97988.89
Current owed to participating2 844.003 286.66
Current owed to group member4 524.80
Other non-interest bearing current liabilities762.044 689.165 011.9889.25754.94
Current liabilities total7 034.565 679.785 549.393 211.225 030.49
Balance sheet total (liabilities)10 088.326 559.506 130.174 566.485 862.95
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