4FINANCE ApS — Credit Rating and Financial Key Figures

CVR number: 32557864
Lautrupsgade 11, 2100 København Ø
4finance.denmark@4finance.com
tel: 78772068
www.4finance.com
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit101 458.4323 131.8617 248.239 553.75956.13
Employee benefit expenses-16 114.37-12 097.97-6 441.77-3 461.62-1 818.97
Total depreciation-1 932.63-9 477.92- 718.97-58.91-3.66
EBIT83 411.441 555.9710 087.506 033.22- 866.51
Other financial income382.59453.752.460.94-6.88
Other financial expenses-7 474.65-3 849.80- 585.29- 145.76-90.60
Pre-tax profit76 319.39-1 840.089 504.675 888.39- 964.00
Income taxes-17 001.49- 124.17-2 142.60-1 180.02-7.12
Net earnings59 317.90-1 964.257 362.074 708.37- 971.11

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure4 854.20
Intangible rights229.40
Intangible assets total5 083.60
Land and waters1 177.71407.3057.82
Buildings45.3715.42
Machinery and equipment212.02107.602.663.770.11
Tangible assets total1 435.10530.3260.483.770.11
Investments total
Long term receivables total
Inventories total
Current trade debtors96 525.9278 064.1515 705.924 129.901 921.67
Prepayments and accrued income176.53195.08100.69158.2699.01
Current other receivables12 016.745 796.09793.049 884.3311 712.09
Current deferred tax assets28.7753.8630.8523.73
Short term receivables total108 719.1984 084.0816 653.5114 203.3413 756.51
Cash and bank deposits9 036.355 081.3926 263.597 609.41525.51
Cash and cash equivalents9 036.355 081.3926 263.597 609.41525.51
Balance sheet total (assets)124 274.2589 695.7942 977.5921 816.5114 282.12

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 466.001 466.001 466.001 466.001 466.00
Shares repurchased37 200.0028 000.004 700.00
Other reserves-28 000.00-4 700.00
Retained earnings2 931.7525 049.6523 085.402 447.472 455.85
Profit of the financial year59 317.90-1 964.257 362.074 708.37- 971.11
Shareholders equity total63 715.6561 751.4031 913.478 621.852 950.73
Provisions1 093.282 000.002 000.00
Non-current liabilities total
Current loans from credit institutions1 207.97405.1055.50
Current trade creditors1 747.302 074.561 261.86491.41477.14
Current owed to group member25 181.2613 722.88695.56789.961 597.34
Short-term deferred tax liabilities16 286.671 246.212 114.111 097.38
Other non-interest bearing current liabilities14 909.586 236.003 874.5710 676.199 256.90
Accruals and deferred income132.532 259.631 062.50139.73
Current liabilities total59 465.3225 944.399 064.1113 194.6711 331.39
Balance sheet total (liabilities)124 274.2589 695.7942 977.5921 816.5114 282.12
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