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Aller Leisure A/S — Credit Rating and Financial Key Figures

CVR number: 39034891
Folke Bernadottes Allé 7, 2100 København Ø
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales874 231.00867 148.00
Manufacturing for enterprise's own use3 024.00
Other operating income1 585.0011 314.00
Costs of manufacturing- 697 388.00- 691 844.00
External services-76 697.00-74 433.00
Gross profit10 506.0012 651.008 868.00101 731.00115 209.00
Employee benefit expenses-11 673.00-17 027.00-20 771.00- 102 300.00- 109 778.00
Total depreciation-12.00-18.00-18.00-22 429.00-22 361.00
EBIT-1 179.00-4 394.00-11 921.00-22 998.00-16 930.00
Other financial income7.009.00124.00892.003 634.00
Other financial expenses- 673.00-1 154.00-6 055.00-6 378.00-16 329.00
Income from other inv. held as non-curr. assets-3.00
Net income from associates (fin.)-52 965.00-11 565.00-24 691.002 819.0012 659.00
Pre-tax profit-54 810.00-17 107.00-42 543.00-25 665.00-16 966.00
Income taxes117.001 221.003 925.00742.00- 277.00
Net earnings-54 693.00-15 886.00-38 618.00-24 923.00-17 243.00

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure18 202.00
Goodwill83 994.0061 651.00
Intangible assets total83 994.0079 853.00
Machinery and equipment78.0060.0042.0024.006.00
Tangible assets total78.0060.0042.0024.006.00
Holdings in group member companies234 636.00222 820.00206 293.0037 199.00104 594.00
Investments total234 636.00222 820.00206 293.0037 415.00104 849.00
Non-curr. owed by group member comp.28.003 838.007 582.007 810.00
Long term receivables total28.003 838.007 582.007 810.00
Inventories total
Current trade debtors22.001 170.001 424.00
Current amounts owed by group member comp.404.002 847.001 059.00101 228.0038 366.00
Prepayments and accrued income79.00208.00136 552.00142 598.00
Current other receivables241.003 289.002 125.005 129.0010 940.00
Current deferred tax assets328.001 470.005 150.009 479.009 202.00
Short term receivables total1 052.007 606.008 564.00253 558.00202 530.00
Other current investments1 940.001 938.00
Cash and bank deposits14 344.0020 199.00
Cash and cash equivalents16 284.0022 137.00
Balance sheet total (assets)235 766.00230 514.00218 737.00398 857.00417 185.00

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital18 000.0018 000.0018 000.0018 000.0018 000.00
Other reserves18 202.00
Retained earnings106 195.0051 531.0034 869.0070 857.0028 331.00
Profit of the financial year-54 693.00-15 886.00-38 618.00-24 923.00-17 243.00
Shareholders equity total69 502.0053 645.0014 251.0063 934.0047 290.00
Provisions18 374.0010 209.00
Capital loans35 000.0091 459.00
Non-current deferred tax liabilities13 122.006 577.00
Non-current liabilities total48 122.0098 036.00
Current loans from credit institutions6 515.006 597.00
Advances received174 728.00176 627.00
Current trade creditors2 227.002 557.001 106.0052 653.0050 316.00
Current owed to group member162 452.00171 766.00194 712.008 212.0010 800.00
Short-term deferred tax liabilities1 885.00
Other non-interest bearing current liabilities1 585.002 546.008 668.0024 434.0017 310.00
Current liabilities total166 264.00176 869.00204 486.00268 427.00261 650.00
Balance sheet total (liabilities)235 766.00230 514.00218 737.00398 857.00417 185.00
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