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BROVST TÆPPER & GARDINER ApS — Credit Rating and Financial Key Figures

CVR number: 24995291
Merkurvej 2, 9460 Brovst
tel: 98230196
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit9 273.7410 721.7811 073.919 266.3410 114.22
Employee benefit expenses-6 329.14-7 676.12-7 939.25-6 981.62-8 225.43
Other operating expenses-13.02-13.68-6.90-12.82
Total depreciation- 416.28- 575.71- 693.47- 629.20- 725.12
EBIT2 515.312 456.282 448.091 642.701 163.67
Other financial income3.9982.05169.9024.0730.58
Other financial expenses- 169.37- 141.17- 137.18- 149.30- 161.11
Pre-tax profit2 349.922 397.162 480.811 517.471 033.14
Income taxes- 517.17- 527.28- 538.49- 335.50- 227.98
Net earnings1 832.751 869.871 942.321 181.97805.16

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters11 428.7411 158.3210 887.9110 617.4910 347.07
Machinery and equipment389.771 006.37693.01376.57444.93
Tangible assets total11 818.5112 164.6911 580.9110 994.0610 792.00
Investments total
Non-current loans receivable50.0050.0051.0051.0051.00
Long term receivables total50.0050.0051.0051.0051.00
Semifinished products458.07458.07
Finished products/goods1 865.601 950.212 117.312 030.132 332.05
Inventories total2 323.682 408.282 117.312 030.132 332.05
Current trade debtors1 174.531 318.192 345.972 118.631 923.86
Prepayments and accrued income36.3339.2549.7926.9529.89
Current other receivables1 186.291 220.24635.55499.14256.21
Short term receivables total2 397.152 577.673 031.312 644.712 209.97
Other current investments25.0025.0025.0025.0025.00
Cash and bank deposits1 679.961 577.451 684.781 748.601 912.46
Cash and cash equivalents1 704.961 602.451 709.781 773.601 937.46
Balance sheet total (assets)18 294.3018 803.1018 490.3117 493.5017 322.48

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital125.00125.00125.00125.00125.00
Shares repurchased1 800.001 800.002 000.00800.00700.00
Retained earnings2 286.202 318.952 188.833 331.153 813.11
Profit of the financial year1 832.751 869.871 942.321 181.97805.16
Shareholders equity total6 043.966 113.836 256.155 438.115 443.28
Provisions1 163.001 242.001 205.001 210.001 221.00
Non-current loans from credit institutions4 423.682 632.84
Non-current liabilities total4 423.682 632.84
Current loans from credit institutions310.80217.84
Advances received77.5883.06113.87129.65206.98
Current trade creditors347.01925.461 765.961 510.901 820.69
Current owed to group member3 463.655 242.336 416.667 264.996 975.09
Short-term deferred tax liabilities463.87448.28575.49330.50216.97
Other non-interest bearing current liabilities2 000.761 897.452 157.181 609.351 438.47
Current liabilities total6 663.678 814.4311 029.1610 845.3910 658.20
Balance sheet total (liabilities)18 294.3018 803.1018 490.3117 493.5017 322.48
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