Rederiet Gule Rev ApS — Credit Rating and Financial Key Figures

CVR number: 38184709
Sennels Hede 23, Sennels 7700 Thisted
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit2 899.633 222.463 555.973 822.134 198.57
Employee benefit expenses-2 024.14-2 461.64-2 533.43-2 761.31-2 921.04
Other operating expenses- 364.47
Total depreciation- 322.49- 368.52- 375.22- 379.30- 361.03
EBIT552.99392.30647.31681.52552.02
Other financial income3.87
Other financial expenses- 103.56-95.69-92.03- 155.75- 163.91
Pre-tax profit449.43296.61555.29525.77391.98
Income taxes-99.00-65.61- 122.50- 118.82-88.11
Net earnings350.42230.99432.79406.95303.88

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill765.75638.13510.50382.88255.25
Intangible assets total765.75638.13510.50382.88255.25
Land and waters2 060.022 017.031 974.041 931.051 888.06
Buildings2 749.972 581.093 126.483 142.803 643.48
Tangible assets total4 809.994 598.125 100.535 073.855 531.54
Investments total
Long term receivables total
Inventories total
Prepayments and accrued income11.7111.715.005.005.00
Current other receivables258.89120.41169.27194.71248.33
Short term receivables total270.59132.11174.27199.71253.33
Cash and bank deposits6.9078.85112.41104.0044.83
Cash and cash equivalents6.9078.85112.41104.0044.83
Balance sheet total (assets)5 853.235 447.215 897.705 760.446 084.95

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital50.0050.0050.0050.0050.00
Shares repurchased400.00300.00300.00
Retained earnings1 115.701 466.121 297.111 429.901 536.85
Profit of the financial year350.42230.99432.79406.95303.88
Shareholders equity total1 516.121 747.112 179.902 186.852 190.73
Provisions364.81389.86431.08430.49391.28
Non-current other liabilities1 756.671 826.941 900.022 033.272 181.54
Non-current liabilities total1 756.671 826.941 900.022 033.272 181.54
Current loans from credit institutions1 158.26457.42733.35263.09
Advances received487.50603.73418.79604.45583.26
Current trade creditors103.42106.0067.02109.33107.93
Current owed to participating1 756.671 826.941 900.022 033.272 181.54
Short-term deferred tax liabilities27.7736.5777.27107.42103.31
Other non-interest bearing current liabilities-1 318.00-1 547.35-1 809.74-1 744.63-1 917.74
Current liabilities total2 215.631 483.301 386.701 109.831 321.40
Balance sheet total (liabilities)5 853.235 447.215 897.705 760.446 084.95
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