Readynez A/S — Credit Rating and Financial Key Figures

CVR number: 31746833
Korskildelund 6, 2670 Greve
fh@readynez.com
tel: 69802741
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit9 501.7215 876.9813 572.934 706.588 188.56
Employee benefit expenses-6 934.88-10 953.58-11 852.18-6 895.00-4 375.81
Total depreciation-2 613.75-3 215.43-2 623.41-4 142.32-2 068.38
EBIT-46.911 707.97- 902.65-6 330.741 744.37
Other financial income0.420.2043.6224.8827.07
Other financial expenses- 588.66- 835.35-1 035.61-1 047.18- 855.10
Net income from associates (fin.)-1 480.59
Pre-tax profit- 635.15872.83-1 894.64-7 353.05- 564.24
Income taxes95.19- 152.08714.761 392.83- 227.52
Net earnings- 539.96720.75-1 179.88-5 960.21- 791.76

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure3 515.583 103.277 005.745 518.345 073.43
Intangible assets total3 515.583 103.277 005.745 518.345 073.43
Machinery and equipment1 736.861 929.46
Tangible assets total1 736.861 929.46
Other non-current investments135.5695.8297.4113.97
Investments total135.5695.8297.4113.97
Non-curr. owed by group member comp.6 446.388 870.999 467.786 704.665 440.67
Long term receivables total6 446.388 870.999 467.786 704.665 440.67
Inventories total
Current trade debtors1 385.053 515.952 831.831 082.311 986.02
Prepayments and accrued income106.69
Current other receivables384.67365.44491.18945.05198.61
Short term receivables total1 876.413 881.403 323.012 027.362 184.63
Cash and bank deposits1 379.38121.4185.5272.9016.59
Cash and cash equivalents1 379.38121.4185.5272.9016.59
Balance sheet total (assets)15 090.1718 002.3519 979.4614 337.2312 715.32

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Other reserves2 742.152 420.555 464.484 304.303 967.24
Retained earnings-1 187.82-1 406.19-3 729.36-3 749.07-9 372.21
Profit of the financial year- 539.96720.75-1 179.88-5 960.21- 791.76
Shareholders equity total1 514.372 235.111 055.23-4 904.98-5 696.74
Provisions125.45636.3742.75
Capital loans2 000.002 135.041 890.00
Non-current loans from credit institutions6 888.536 932.255 800.145 830.214 732.36
Non-current other liabilities3 849.383 307.50
Non-current liabilities total10 737.9110 239.757 800.147 965.266 622.37
Advances received405.631 854.902 702.833 397.213 155.29
Current trade creditors2 105.823 036.224 961.994 757.084 078.69
Current owed to group member201.00419.9535.17100.93
Other non-interest bearing current liabilities3 039.323 087.484 412.03
Current liabilities total2 712.444 891.1211 124.0911 276.9511 746.94
Balance sheet total (liabilities)15 090.1718 002.3519 979.4614 337.2312 715.32
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