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BTN Waste ApS — Credit Rating and Financial Key Figures

CVR number: 34718997
Hvidkærvej 17, Højme 5250 Odense SV
info@biotrans-nordic.com
tel: 70258400
www.biotrans-nordic.com
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit4 775.906 384.697 325.557 968.808 561.90
Employee benefit expenses-3 766.22-5 017.77-6 131.38-5 326.03-5 190.34
Total depreciation- 434.47- 533.46- 411.42- 607.40- 805.84
EBIT575.20833.45782.762 035.372 565.73
Other financial income35.800.015.150.980.04
Other financial expenses-37.85-88.06- 241.99- 135.84-95.64
Pre-tax profit573.15745.40545.921 900.512 470.12
Income taxes- 131.85- 185.17- 132.27- 441.69- 555.40
Net earnings441.30560.23413.651 458.821 914.72

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure379.6197.50341.37622.46710.07
Intangible rights141.0826.260.72
Goodwill124.0264.8130.7313.05
Intangible assets total644.70188.57372.82635.51710.07
Buildings243.51176.75
Machinery and equipment391.301 316.901 600.691 468.141 329.07
Tangible assets total391.301 316.901 600.691 711.641 505.83
Investments total36.5036.5038.9799.84112.96
Long term receivables total
Raw materials and consumables640.941 464.361 024.421 148.791 458.50
Finished products/goods52.0066.00
Inventories total692.941 530.361 024.421 148.791 458.50
Current trade debtors2 475.333 281.651 073.122 050.623 784.99
Current amounts owed by group member comp.21.8819.0320.04
Prepayments and accrued income107.52254.79259.80
Current other receivables909.711 114.352 446.581 298.991 220.62
Short term receivables total3 514.434 650.793 779.503 368.645 025.64
Cash and bank deposits2 091.0933.5786.311 188.2148.68
Cash and cash equivalents2 091.0933.5786.311 188.2148.68
Balance sheet total (assets)7 370.967 756.696 902.718 152.638 861.68

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital80.0080.0080.0080.0080.00
Shares repurchased350.00250.00275.001 000.001 200.00
Other reserves76.05266.27485.52553.86
Retained earnings140.18255.43350.44- 455.15- 264.67
Profit of the financial year441.30560.23413.651 458.821 914.72
Shareholders equity total1 011.481 221.711 385.372 569.183 483.91
Provisions412.92598.09712.05873.16891.89
Non-current loans from credit institutions45.99264.16201.07134.7057.56
Non-current accruals and deferred income650.02179.1779.88
Non-current other liabilities- 562.64- 179.17-79.88
Non-current liabilities total133.37264.16201.07134.7057.56
Current loans from credit institutions120.00614.57611.06117.08165.68
Advances received596.19322.00
Current trade creditors2 691.462 730.481 925.082 039.291 375.21
Current owed to group member114.35273.16
Short-term deferred tax liabilities18.31280.57536.67
Other non-interest bearing current liabilities2 452.142 066.921 573.651 380.801 778.62
Accruals and deferred income549.59146.41202.97161.65250.13
Current liabilities total5 813.195 672.734 604.234 575.584 428.32
Balance sheet total (liabilities)7 370.967 756.706 902.718 152.638 861.68
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