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Bedre Nætter ApS — Credit Rating and Financial Key Figures

CVR number: 34613931
Søren Frichs Vej 34 B, 8230 Åbyhøj
martin@bedrenaetter.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit22 841.3720 286.5923 121.1545 524.9352 285.50
Employee benefit expenses-17 958.19-18 024.19-15 060.79-25 905.41-29 215.03
Other operating expenses- 117.00- 158.75
Total depreciation-1 576.70-2 150.64-1 458.60-2 159.99-2 570.70
EBIT3 189.48111.776 601.7617 300.7720 499.77
Other financial income75.83241.0681.02
Other financial expenses- 458.64- 383.99- 658.42-1 265.89-2 053.95
Pre-tax profit2 806.67- 272.235 943.3416 275.9418 526.85
Income taxes- 632.6743.19-1 309.07-3 715.83-4 079.86
Net earnings2 174.00- 229.034 634.2712 560.1114 446.99

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure4 341.783 977.71
Intangible rights3 763.784 395.414 230.67
Intangible assets total3 763.784 395.414 230.674 341.783 977.71
Buildings590.80616.49413.591 381.821 373.61
Machinery and equipment456.20314.74244.48370.12349.38
Tangible assets total1 047.01931.23658.071 751.941 722.99
Investments total2 051.922 067.642 547.161 874.771 963.74
Non-current loans receivable565.50565.50565.50565.50565.50
Long term receivables total565.50565.50565.50565.50565.50
Finished products/goods10 408.8411 294.4013 861.9714 550.2714 787.35
Advance payments1 294.622 068.783 189.86
Inventories total10 408.8411 294.4015 156.5816 619.0617 977.21
Current trade debtors1 702.402 935.164 574.654 202.763 860.35
Current amounts owed by group member comp.3 652.177 431.205 900.757 669.8411 490.71
Prepayments and accrued income2 090.392 160.491 826.151 926.313 149.76
Current other receivables1 442.501 408.251 223.92950.231 204.68
Current deferred tax assets2 012.98
Short term receivables total10 900.4413 935.1013 525.4614 749.1419 705.51
Other current investments285.20
Cash and bank deposits3 772.454 248.235 505.9710 246.1020 192.66
Cash and cash equivalents3 772.454 248.235 791.1710 246.1020 192.66
Balance sheet total (assets)32 509.9437 437.5042 474.6150 148.2866 105.33

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital80.0080.0080.0080.0080.00
Shares repurchased2 548.003 700.0012 000.00
Other reserves-2 548.00- 313.41-8 897.38
Retained earnings11 978.3314 152.3311 375.308 922.989 767.05
Profit of the financial year2 174.00- 229.034 634.2712 560.1114 446.99
Shareholders equity total14 232.3314 003.3016 089.5624 949.6727 396.66
Provisions285.19242.00801.00854.50602.50
Non-current other liabilities963.26704.92
Non-current deferred tax liabilities1 479.664 414.535 111.90
Non-current liabilities total963.26704.921 479.664 414.535 111.90
Advances received424.34586.63
Current trade creditors15 301.6719 094.3319 651.5915 595.5323 019.67
Current owed to group member18.23985.95152.72
Short-term deferred tax liabilities750.073 662.33
Other non-interest bearing current liabilities1 709.251 716.823 846.823 006.905 725.63
Accruals and deferred income690.19605.98
Current liabilities total17 029.1622 487.2924 104.3819 929.5732 994.26
Balance sheet total (liabilities)32 509.9437 437.5042 474.6150 148.2866 105.33
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