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AUTOCENTRUM AARS ApS — Credit Rating and Financial Key Figures

CVR number: 35512667
Industrivej 2, 9600 Aars
ek@autocentrum-aars.dk
tel: 40910409
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit5 871.695 442.005 538.565 920.706 225.42
Employee benefit expenses-4 729.29-4 374.16-4 237.60-4 434.74-4 789.69
Total depreciation- 263.72- 280.71- 379.01- 372.26- 319.41
EBIT878.68787.13921.951 113.711 116.32
Other financial income35.6030.1193.16144.18137.73
Other financial expenses- 211.60- 228.25- 285.24- 284.27- 196.59
Pre-tax profit702.68588.99729.86973.621 057.47
Income taxes- 156.65- 133.18- 170.12- 221.58- 238.14
Net earnings546.03455.81559.75752.04819.33

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Machinery and equipment726.58672.191 015.81945.16824.92
Tangible assets total726.58672.191 015.81945.16824.92
Investments total87.50210.50210.50123.00123.00
Non-current other receivables25.0025.0025.0025.0025.00
Long term receivables total25.0025.0025.0025.0025.00
Raw materials and consumables1 341.281 031.181 045.21909.87692.88
Finished products/goods3 822.993 636.323 859.894 941.744 583.96
Inventories total5 164.274 667.494 905.105 851.605 276.84
Current trade debtors2 958.181 871.102 176.542 420.643 276.41
Current amounts owed by group member comp.165.80172.45201.13620.27315.63
Current other receivables3 134.40767.36755.75270.85391.76
Current deferred tax assets10.73
Short term receivables total6 269.102 810.913 133.413 311.753 983.80
Cash and bank deposits574.13730.0311.13131.10263.36
Cash and cash equivalents574.13730.0311.13131.10263.36
Balance sheet total (assets)12 846.589 116.139 300.9410 387.6210 496.92

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital80.0080.0080.0080.0080.00
Shares repurchased400.00600.00
Retained earnings1 916.072 462.102 517.912 477.663 229.70
Profit of the financial year546.03455.81559.75752.04819.33
Shareholders equity total2 542.102 997.913 557.663 909.704 129.03
Provisions8.4617.3433.8422.53
Non-current trade creditors254.3355.92
Non-current other liabilities89.75
Non-current deferred tax liabilities135.71185.80254.98302.72249.45
Non-current liabilities total225.46185.80509.32358.64249.45
Current loans from credit institutions3 062.173 417.862 791.483 151.133 076.56
Advances received14.2810.6832.40
Current trade creditors1 319.47812.61643.861 290.061 408.80
Current owed to group member131.0795.4362.32
Short-term deferred tax liabilities45.04135.7193.98156.62205.07
Other non-interest bearing current liabilities5 638.071 416.031 559.481 425.301 405.49
Current liabilities total10 079.025 923.955 216.636 085.436 095.92
Balance sheet total (liabilities)12 846.589 116.139 300.9410 387.6210 496.92
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