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Taxi 4x27 ApS — Credit Rating and Financial Key Figures

CVR number: 15197382
Englandsvej 358, 2770 Kastrup
tel: 32523111
taxi4x27.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit8 973.017 221.0111 208.2012 524.1615 217.25
Employee benefit expenses-12 041.22-14 321.46-14 515.87-12 937.54-10 856.74
Other operating expenses- 489.22
Total depreciation-3 661.20-2 159.47-2 212.65-1 749.75- 809.64
EBIT-7 218.63-9 259.91-5 520.32-2 163.143 550.86
Other financial income64.32198.8115.17109.77394.36
Other financial expenses- 245.49- 791.01- 280.28-42.71-24.86
Reduction non-current investment assets9.54
Net income from associates (fin.)62.6061.97- 594.16196.82
Pre-tax profit-7 390.25-9 789.52-5 723.46-2 690.234 117.18
Income taxes237.0923.98609.09
Net earnings-7 153.16-9 765.54-5 723.46-2 081.144 117.18

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Machinery and equipment4 630.633 967.882 123.63373.882 152.93
Tangible assets total4 630.633 967.882 123.63373.882 152.93
Holdings in group member companies1 426.891 489.481 551.45957.291 154.10
Investments total1 426.891 682.491 667.621 073.451 247.77
Long term receivables total
Inventories total
Current trade debtors5 943.648 641.308 747.056 080.626 460.68
Current amounts owed by group member comp.16 221.00
Prepayments and accrued income1 982.4332.29
Current other receivables373.2736.44130.320.50
Current deferred tax assets73.7023.9823.98609.09
Short term receivables total8 373.0524 922.738 933.646 689.716 461.18
Cash and bank deposits865.04273.101 996.2223.063 187.22
Cash and cash equivalents865.04273.101 996.2223.063 187.22
Balance sheet total (assets)15 295.6030 846.2014 721.118 160.1113 049.10

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Other reserves176.89239.48301.45
Retained earnings3 096.3411 880.587 053.071 931.06- 150.08
Profit of the financial year-7 153.16-9 765.54-5 723.46-2 081.144 117.18
Shareholders equity total-3 379.942 854.522 131.06349.924 467.10
Non-current other liabilities414.944 883.464 384.263 148.15
Non-current liabilities total414.944 883.464 384.263 148.15
Current loans from credit institutions838.79250.00
Current trade creditors1 903.74890.53855.611 202.48838.68
Current owed to group member8 835.1516 597.82914.19505.533 781.70
Other non-interest bearing current liabilities7 521.727 763.325 936.79879.13563.48
Accruals and deferred income2 740.00
Current liabilities total18 260.6127 991.677 706.593 425.935 433.86
Balance sheet total (liabilities)15 295.6030 846.2014 721.118 160.1113 049.10
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