REAL COFFEE ApS — Credit Rating and Financial Key Figures

CVR number: 35226753
Fredskovvej 2, 2840 Holte
service@realcoffee.com
tel: 23236673
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit4 018.806 337.435 113.516 657.8812 357.88
Employee benefit expenses-1 874.58-2 270.14-2 222.66-2 016.98-2 344.59
Total depreciation-57.84-47.16-63.31
EBIT2 086.384 020.132 827.554 640.9010 013.29
Other financial income44.82114.8189.08213.2183.23
Other financial expenses- 238.04- 124.95- 201.46- 166.62- 191.90
Pre-tax profit1 893.174 009.992 715.174 687.499 904.62
Income taxes- 419.79- 888.58- 607.01-1 038.44-2 225.69
Net earnings1 473.383 121.412 108.163 649.057 678.93

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights0.61
Intangible assets total0.61
Buildings32.8524.81
Machinery and equipment77.0038.50
Tangible assets total109.8663.31
Investments total33.0033.00
Non-current loans receivable216.28
Long term receivables total216.28
Finished products/goods4 903.29875.374 814.018 333.042 163.41
Advance payments379.64
Inventories total5 282.93875.374 814.018 333.042 163.41
Current trade debtors2 147.331 084.391 581.521 427.67654.03
Current amounts owed by group member comp.156.71144.12181.13715.034 264.78
Prepayments and accrued income14.2022.161.42
Current other receivables25.0577.38
Current deferred tax assets68.5977.0877.08
Short term receivables total2 329.091 374.491 853.932 241.954 920.23
Cash and bank deposits2 083.976 133.562 322.112 879.034 866.61
Cash and cash equivalents2 083.976 133.562 322.112 879.034 866.61
Balance sheet total (assets)10 055.758 479.728 990.0513 454.0211 950.25

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital80.0080.0080.0080.0080.00
Shares repurchased2 500.001 000.008 000.00
Retained earnings408.82882.204 003.61-2 139.23-6 490.18
Profit of the financial year1 473.383 121.412 108.163 649.057 678.93
Shareholders equity total4 462.195 083.616 191.771 589.829 268.75
Provisions1.51300.00300.00
Non-current other liabilities911.10
Non-current deferred tax liabilities399.52924.67180.96734.122 178.53
Non-current liabilities total1 310.62924.67180.96734.122 178.53
Current loans from credit institutions105.2943.5719.5623.70
Current trade creditors2 197.771 064.91487.622 207.39144.87
Current owed to participating531.48252.89254.33252.1619.88
Current owed to group member8 251.00
Short-term deferred tax liabilities198.54237.52890.67119.96
Other non-interest bearing current liabilities1 353.63510.84641.13280.00314.52
Current liabilities total4 281.432 171.442 317.3211 130.07502.98
Balance sheet total (liabilities)10 055.758 479.728 990.0513 454.0211 950.25
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