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KIF HÅNDBOLD ELITE A/S — Credit Rating and Financial Key Figures

CVR number: 20919078
Ambolten 2-4, 6000 Kolding
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales7 576.0810 652.5115 236.5819 563.3519 678.51
Other operating income3 219.141 856.621 118.77323.10261.53
External services-5 757.06-6 980.61-8 698.50-10 137.48-10 705.30
Gross profit5 038.175 528.527 656.849 748.979 234.74
Employee benefit expenses-7 471.05-9 513.33-10 275.90-13 109.17-16 362.35
Total depreciation- 141.83-94.02-8.91- 566.87- 675.68
EBIT-2 574.71-4 078.83-2 627.97-3 927.07-7 803.29
Other financial income2 624.651 034.50703.7610.2238.52
Other financial expenses- 227.14- 265.69-89.05- 345.63- 117.02
Net income from associates (fin.)283.421 400.021 191.88
Pre-tax profit106.21-1 910.00- 821.38-4 262.48-7 881.79
Net earnings106.21-1 910.00- 821.38-4 262.48-7 881.79

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights88.029 468.778 911.79
Intangible assets total88.029 468.778 911.79
Buildings160.42
Machinery and equipment79.0073.0083.5273.631 225.91
Tangible assets total79.0073.0083.5273.631 386.33
Holdings in group member companies7 581.758 977.0110 168.89
Participating interests5 131.68
Investments total12 757.038 977.0110 168.8946.37
Non-current loans receivable47.655 184.091 130.87
Long term receivables total47.655 184.091 130.87
Finished products/goods32.3023.2341.2038.97
Inventories total32.3023.2341.2038.97
Current trade debtors553.432 089.11801.761 131.18689.83
Current amounts owed by group member comp.2 644.66648.83
Prepayments and accrued income16.6944.49
Current other receivables2 499.640.00120.90
Short term receivables total5 714.422 737.94967.161 131.18689.83
Cash and bank deposits38.22827.231 204.59671.801 575.37
Cash and cash equivalents38.22827.231 204.59671.801 575.37
Balance sheet total (assets)18 724.3517 831.5812 447.3711 386.5913 779.53

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital10 728.2710 728.2710 728.2710 728.2710 728.27
Other reserves5 892.573 276.474 468.35
Retained earnings-14 608.33-11 886.02-14 987.89-7 148.79-1 130.11
Profit of the financial year106.21-1 910.00- 821.38-4 262.48-7 881.79
Shareholders equity total2 118.73208.73- 612.66- 683.001 716.38
Capital loans2 500.004 176.675 737.331 230.61
Non-current trade creditors70.00
Non-current accruals and deferred income2 000.001 200.001 200.00800.00400.00
Non-current deferred tax liabilities1 703.561 092.68963.921 054.021 323.81
Non-current liabilities total3 703.564 792.686 340.597 591.353 024.42
Current loans from credit institutions3 545.33474.11968.59950.00593.15
Current trade creditors751.041 157.58622.50628.80802.15
Current owed to participating2.21
Current owed to group member872.69
Other non-interest bearing current liabilities6 963.228 699.082 749.471 381.995 259.95
Accruals and deferred income1 640.262 499.381 506.191 517.452 383.48
Current liabilities total12 902.0612 830.166 719.444 478.249 038.73
Balance sheet total (liabilities)18 724.3517 831.5812 447.3711 386.5913 779.53
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