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The Army Painter ApS — Credit Rating and Financial Key Figures

CVR number: 30720121
Christiansmindevej 12, 8660 Skanderborg
administration@thearmypainter.com
tel: 28911656
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit61 356.0374 737.6572 565.2684 394.1896 687.28
Employee benefit expenses-24 410.11-26 845.54-27 789.44-33 049.44-42 026.06
Total depreciation-2 280.61-2 842.07-3 116.85-2 577.85-2 498.69
EBIT34 665.3045 050.0441 658.9748 766.8952 162.54
Other financial income1 198.475 609.041 938.684 724.956 592.70
Other financial expenses-1 410.02-4 301.42-4 082.94-5 565.78-11 532.21
Net income from associates (fin.)34.64131.14301.58208.85
Pre-tax profit34 453.7546 392.2939 645.8548 227.6447 431.88
Income taxes-7 869.51-10 257.61-8 712.98-10 604.30-10 563.82
Net earnings26 584.2436 134.6830 932.8837 623.3436 868.06

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure382.22245.102 395.77
Intangible assets total382.22245.102 395.77
Buildings218.62159.83203.85217.911 898.16
Machinery and equipment9 583.947 500.274 725.104 032.402 072.76
Tangible assets total9 802.557 660.104 928.964 250.323 970.92
Holdings in group member companies44.78164.56475.85641.52
Investments total758.75799.741 000.681 327.37677.61
Long term receivables total
Semifinished products5 128.786 125.136 637.274 873.368 132.63
Raw materials and consumables12 498.0412 367.1713 951.909 460.1918 624.10
Finished products/goods27 596.5025 548.6337 936.7928 083.0146 360.82
Advance payments385.82415.983 144.29
Inventories total45 609.1344 456.9061 670.2642 416.5673 117.55
Current trade debtors15 159.8612 553.3816 386.7816 074.1125 218.77
Current amounts owed by group member comp.635.3186.6948.16179.6415 049.47
Prepayments and accrued income321.24352.901 088.483 813.023 548.48
Current other receivables6.381 275.54709.61754.69
Current deferred tax assets1 816.79
Short term receivables total16 122.7914 809.7618 798.9620 776.3844 571.41
Cash and bank deposits1 520.77337.2915 473.7129 269.0012 532.26
Cash and cash equivalents1 520.77337.2915 473.7129 269.0012 532.26
Balance sheet total (assets)73 814.0068 063.79102 254.7898 284.74137 265.52

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital125.00125.00125.00125.00125.00
Shares repurchased33 000.0026 000.0060 000.0036 000.00
Other reserves-32 965.36-25 845.57-24 558.30564.18
Retained earnings9 588.763 138.3622 691.90-6 652.78-5 195.10
Profit of the financial year26 584.2436 134.6830 932.8837 623.3436 868.06
Shareholders equity total36 298.0039 432.6853 904.2166 537.2668 362.13
Provisions1 232.001 030.001 137.00968.001 113.00
Non-current leasing loans4 967.674 060.762 261.721 001.83
Non-current liabilities total4 967.674 060.762 261.721 001.83
Current loans from credit institutions12 738.3011 321.921 939.972 887.0512 452.48
Advances received212.78403.98225.03
Current trade creditors4 575.295 578.447 542.478 628.2520 431.41
Current owed to participating1 856.9918.16
Current owed to group member1 400.001 276.4024 067.448 866.3222 088.66
Short-term deferred tax liabilities1 222.633 605.987 784.0410 418.83
Other non-interest bearing current liabilities4 672.932 710.172 260.591 368.812 399.01
Accruals and deferred income6 707.182 440.633 274.44
Current liabilities total31 316.3223 540.3444 951.8629 777.6467 790.39
Balance sheet total (liabilities)73 814.0068 063.79102 254.7898 284.74137 265.52
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