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BABETTE GULDSMEDEN ApS — Credit Rating and Financial Key Figures

CVR number: 35386238
Gullfossgade 4, 2300 København S
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit1 247.077 347.7810 521.3510 943.1416 747.92
Employee benefit expenses-1 538.28-1 632.27-1 555.30-2 002.85-2 224.22
Other operating expenses-57.31-1.66
Total depreciation-1 467.62- 183.39- 106.52- 139.34-98.82
EBIT-1 758.835 532.128 802.218 799.3014 424.88
Other financial income0.2061.71277.30211.33
Other financial expenses- 181.73- 277.88- 179.58- 330.15- 341.99
Pre-tax profit-1 940.365 254.248 684.348 746.4414 294.22
Income taxes197.47- 931.71-1 914.53-1 931.64-3 155.86
Net earnings-1 742.894 322.536 769.816 814.8011 138.36

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings88.3126.103.73
Machinery and equipment260.99181.9197.76197.01171.59
Tangible assets total349.30208.01101.49197.01171.59
Investments total631.88921.471 089.731 285.321 386.24
Long term receivables total
Finished products/goods72.8966.4089.0468.5946.92
Inventories total72.8966.4089.0468.5946.92
Current trade debtors581.46717.32443.82561.57652.55
Current amounts owed by group member comp.49.231 158.268 982.8710 038.0510 268.90
Prepayments and accrued income83.9494.45123.79125.83152.38
Current other receivables6 304.9217.8449.2410.0010.00
Current deferred tax assets330.8296.5584.4175.4661.59
Short term receivables total7 350.362 084.439 684.1410 810.9211 145.42
Cash and bank deposits1 400.103 546.193 978.284 160.626 130.10
Cash and cash equivalents1 400.103 546.193 978.284 160.626 130.10
Balance sheet total (assets)9 804.536 826.5114 942.6816 522.4618 880.27

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital80.0080.0080.0080.0080.00
Shares repurchased4 000.0010 000.0010 000.00
Retained earnings-1 561.02-3 303.91-2 981.38-6 211.57-9 396.77
Profit of the financial year-1 742.894 322.536 769.816 814.8011 138.36
Shareholders equity total-3 223.911 098.627 868.4310 683.2311 821.59
Non-current trade creditors2 149.491 222.61260.15
Non-current other liabilities123.12
Non-current liabilities total123.122 149.491 222.61260.15
Current loans from credit institutions1 065.47900.00920.00948.00
Advances received392.1728.60359.52270.03375.54
Current trade creditors4 149.54431.07292.63294.36608.46
Current owed to group member7 046.19236.90369.37222.19326.14
Short-term deferred tax liabilities736.521 902.381 922.693 141.99
Other non-interest bearing current liabilities251.951 245.322 007.741 921.812 606.55
Current liabilities total12 905.323 578.395 851.645 579.087 058.68
Balance sheet total (liabilities)9 804.536 826.5114 942.6816 522.4618 880.27
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