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Tranum Klit Camping ApS — Credit Rating and Financial Key Figures

CVR number: 39405954
Jørgen Iversens Vej 7, 9460 Brovst
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit1 263.751 419.301 154.511 542.661 709.79
Employee benefit expenses- 543.97- 530.72- 704.43-1 215.84- 632.39
Total depreciation- 443.40- 446.22- 363.43- 488.23- 502.29
EBIT276.38442.3686.64- 161.40575.10
Other financial income19.281.240.85
Other financial expenses-42.35-22.31- 194.97- 297.71- 226.97
Pre-tax profit234.03420.05-89.05- 457.87348.98
Income taxes-52.00-93.0019.7099.40-77.36
Net earnings182.03327.05-69.35- 358.47271.62

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters7 088.316 775.486 534.306 270.996 089.25
Machinery and equipment598.13343.47833.15774.09589.87
Other tangible assets136.88
Tangible assets total7 823.327 118.957 367.457 045.086 679.13
Investments total
Long term receivables total
Finished products/goods15.0045.00
Inventories total15.0045.00
Current trade debtors21.2919.1211.23
Prepayments and accrued income64.8767.3770.67
Current other receivables3.3419.5131.551.961.96
Current deferred tax assets81.007.70107.2129.74
Short term receivables total84.3419.51125.42195.65113.60
Cash and bank deposits21.2116.76443.36186.22746.21
Cash and cash equivalents21.2116.76443.36186.22746.21
Balance sheet total (assets)7 928.877 155.227 936.237 441.957 583.94

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital100.00100.00100.00100.00100.00
Retained earnings461.15643.18970.23900.88542.41
Profit of the financial year182.03327.05-69.35- 358.47271.62
Shareholders equity total743.181 070.231 000.88642.41914.03
Provisions12.00
Non-current loans from credit institutions5 274.075 066.794 822.62
Non-current liabilities total5 274.075 066.794 822.62
Current loans from credit institutions230.06219.98220.45222.44
Advances received176.85101.07134.27127.23108.96
Current trade creditors82.33159.19151.60172.59156.70
Current owed to participating6.1651.3570.7373.46
Current owed to group member6 491.385 577.82725.99839.49964.73
Other non-interest bearing current liabilities205.08228.75378.09302.28321.00
Current liabilities total7 185.696 072.991 661.281 732.761 847.28
Balance sheet total (liabilities)7 928.877 155.227 936.237 441.957 583.94
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