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TSG ApS — Credit Rating and Financial Key Figures

CVR number: 20229098
Bøgeholm Alle 4, 3450 Allerød
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Other operating income3 381.40662.97888.98
Gross profit-30.624 710.224 308.944 288.084 340.95
Costs of management-1 204.13-1 461.33-5 965.80-1 853.08-2 154.28
Costs of distribution-4.69- 136.52-1.16-0.29-3.67
Other operating expenses- 471.09- 782.83- 785.37-1 097.25-2 046.38
EBIT-1 239.442 329.54938.022 000.431 025.60
Other financial income0.1014.9948.0412.75
Other financial expenses- 376.34- 305.34- 889.99- 773.76- 588.69
Pre-tax profit-2 086.782 024.2065.331 274.71449.66
Income taxes461.43- 443.523.71- 281.05- 121.48
Net earnings-1 625.351 580.6769.04993.67328.18

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters24 642.1124 405.9216 389.8916 181.8015 974.56
Machinery and equipment16 893.2421 746.3019 931.9316 809.0914 058.95
Tangible assets total41 535.3546 152.2336 321.8232 990.8930 033.52
Investments total
Long term receivables total
Raw materials and consumables2 722.742 759.891 997.291 929.56
Finished products/goods789.804 953.964 369.42733.082 406.49
Inventories total3 512.544 953.967 129.312 730.364 336.04
Current trade debtors167.961 381.8927.4852.871 217.86
Current amounts owed by group member comp.1 283.275 613.68
Prepayments and accrued income65.4572.4916.2851.0460.41
Current other receivables217.961.320.49
Current deferred tax assets436.48
Short term receivables total887.841 454.381 328.365 717.591 278.76
Cash and bank deposits508.041 776.293 740.64497.18561.34
Cash and cash equivalents508.041 776.293 740.64497.18561.34
Balance sheet total (assets)46 443.7754 336.8548 520.1341 936.0336 209.66

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital130.28130.28130.28130.28130.28
Asset revaluation reserve390.00390.00390.00390.00390.00
Retained earnings8 378.476 753.128 333.798 402.839 396.50
Profit of the financial year-1 625.351 580.6769.04993.67328.18
Shareholders equity total7 273.408 854.078 923.119 916.7810 244.96
Provisions1 362.691 686.211 630.311 297.33944.95
Non-current loans from credit institutions15 917.5014 499.208 607.607 966.616 342.52
Non-current leasing loans6 379.5511 867.109 462.276 977.066 233.11
Non-current other liabilities153.75153.75132.75147.75147.75
Non-current liabilities total22 450.8026 520.0518 202.6115 091.4112 723.37
Current loans from credit institutions687.411 044.363 068.693 122.363 409.91
Current trade creditors4 880.047 167.008 225.889 976.392 736.35
Current owed to group member5 176.002 137.996 589.574 462.20
Short-term deferred tax liabilities120.0152.18614.03473.86
Other non-interest bearing current liabilities4 613.436 807.151 827.771 917.711 214.06
Current liabilities total15 356.8817 276.5219 764.1015 630.5012 296.38
Balance sheet total (liabilities)46 443.7754 336.8548 520.1341 936.0336 209.66
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