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STAY MANAGEMENT A/S — Credit Rating and Financial Key Figures

CVR number: 35851941
Nymøllevej 6, 3540 Lynge
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit8 848.988 699.9012 588.1813 651.3011 881.76
Employee benefit expenses-6 596.37-6 128.36-9 143.33-9 117.85-7 503.02
Total depreciation-1 140.91-1 131.14-1 149.02-1 104.81-1 043.26
EBIT1 111.701 440.402 295.833 428.643 335.48
Other financial income0.102.760.49108.3339.98
Other financial expenses- 225.88- 386.74- 129.56-33.18-12.84
Pre-tax profit885.921 056.422 166.763 503.793 362.62
Income taxes- 198.02- 240.83- 485.83- 773.29- 745.51
Net earnings687.90815.591 680.932 730.502 617.11

Assets (kDKK)

2021
2022
2023
2024
2025
Goodwill258.33158.3358.33
Intangible assets total258.33158.3358.33
Machinery and equipment6 989.476 159.505 110.484 064.003 020.74
Tangible assets total6 989.476 159.505 110.484 064.003 020.74
Investments total3 039.093 100.303 223.643 276.743 325.57
Long term receivables total
Raw materials and consumables64.9242.03107.7246.8528.59
Inventories total64.9242.03107.7246.8528.59
Current trade debtors1 564.632 366.794 073.343 329.523 772.26
Current amounts owed by group member comp.4 021.12416.30219.89368.24
Prepayments and accrued income1 172.881 501.531 085.821 031.41890.86
Current other receivables2.532.533.10358.589.65
Current deferred tax assets2 486.991 314.81
Short term receivables total9 248.145 601.945 162.264 939.405 041.02
Cash and bank deposits1 769.502 619.586 167.606 946.6810 591.99
Cash and cash equivalents1 769.502 619.586 167.606 946.6810 591.99
Balance sheet total (assets)21 369.4617 681.6919 830.0319 273.6722 007.91

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Retained earnings3 076.153 764.054 579.656 260.578 991.07
Profit of the financial year687.90815.591 680.932 730.502 617.11
Shareholders equity total4 264.055 079.656 760.579 491.0712 108.18
Provisions716.44687.11621.09507.04374.28
Non-current other liabilities46.00
Non-current deferred tax liabilities551.84887.34878.27
Non-current liabilities total597.84887.34878.27
Advances received34.1059.7564.85
Current trade creditors1 762.353 906.471 915.951 548.651 680.21
Current owed to group member11 805.082 266.714 231.224 561.154 193.48
Short-term deferred tax liabilities270.16270.16551.84887.34
Other non-interest bearing current liabilities2 069.494 291.643 126.571 726.571 239.96
Accruals and deferred income717.941 179.962 246.87581.34
Current liabilities total16 388.9711 914.9411 850.528 388.228 647.18
Balance sheet total (liabilities)21 369.4617 681.6919 830.0319 273.6722 007.91
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