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Haslev Flytteforretning ApS — Credit Rating and Financial Key Figures

CVR number: 40789863
Norgesgade 10, 4690 Haslev
Flytmed@haslevflyt.dk
tel: 30724848
Haslevflyt.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit3 745.253 259.993 637.094 173.184 772.06
Employee benefit expenses-2 957.94-2 851.24-3 135.86-3 741.30-3 815.62
Other operating expenses-27.00-33.33
Total depreciation-13.65-14.24-44.89- 218.47- 240.73
EBIT746.66361.18456.35213.41715.71
Other financial income6.344.730.44
Other financial expenses-3.00-5.96-22.33-32.18- 133.59
Pre-tax profit743.66355.22440.36185.96582.56
Income taxes- 164.33-80.80- 102.47-41.81- 100.39
Net earnings579.33274.42337.89144.15482.17

Assets (kDKK)

2021
2022
2023
2024
2025
Goodwill579.67459.67339.67
Intangible assets total579.67459.67339.67
Machinery and equipment146.1830.34275.79177.32460.16
Tangible assets total146.1830.34275.79177.32460.16
Investments total30.9818.80138.80120.00120.00
Long term receivables total
Inventories total
Current trade debtors445.90413.91545.71477.58534.12
Current amounts owed by group member comp.191.52
Prepayments and accrued income187.16350.80251.73162.65710.24
Current other receivables0.36
Current deferred tax assets25.63
Short term receivables total633.42790.35988.95640.231 244.36
Cash and bank deposits1 020.011 047.32698.801 172.81533.97
Cash and cash equivalents1 020.011 047.32698.801 172.81533.97
Balance sheet total (assets)1 830.581 886.812 682.002 570.022 698.16

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital40.0040.0040.0040.0040.00
Shares repurchased114.40117.80192.00250.00250.00
Retained earnings404.19865.72948.131 036.02930.17
Profit of the financial year579.33274.42337.89144.15482.17
Shareholders equity total1 137.921 297.941 518.021 470.171 702.33
Provisions39.2759.7059.9023.84124.23
Non-current loans from credit institutions435.88374.80304.78
Non-current liabilities total435.88374.80304.78
Current loans from credit institutions55.0058.0064.00
Current trade creditors22.21114.03124.9283.8193.93
Current owed to group member24.213.47
Short-term deferred tax liabilities130.3526.2877.87
Other non-interest bearing current liabilities500.83415.15461.99457.32405.40
Current liabilities total653.39529.17668.19701.21566.80
Balance sheet total (liabilities)1 830.581 886.812 682.002 570.022 698.16
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