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TVERSTED KØBMANDSGÅRD A/S — Credit Rating and Financial Key Figures

CVR number: 28685564
Tannisbugtvej 38, Tversted 9881 Bindslev
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit6 489.166 317.006 850.186 194.677 825.58
Employee benefit expenses-3 352.16-3 753.44-4 177.31-4 095.78-3 644.42
Total depreciation- 764.40-1 276.34-1 299.14-1 450.49-1 549.56
EBIT2 372.601 287.211 373.73648.402 631.60
Other financial income6.214.8215.864.2412.46
Other financial expenses- 362.04- 426.00- 495.63- 503.99- 408.24
Pre-tax profit2 016.77866.03893.96148.652 235.82
Income taxes- 456.83- 177.45- 197.21-34.93- 491.98
Net earnings1 559.94688.58696.75113.711 743.84

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters13 261.7313 432.6613 530.6314 231.4813 656.69
Machinery and equipment3 833.943 135.952 291.961 847.51929.37
Tangible assets total17 095.6616 568.6015 822.5916 078.9914 586.05
Investments total
Long term receivables total
Finished products/goods2 370.212 730.003 452.542 891.033 157.13
Inventories total2 370.212 730.003 452.542 891.033 157.13
Current trade debtors194.55308.71200.15161.79152.40
Current amounts owed by group member comp.33.4953.46352.00102.78
Prepayments and accrued income338.49235.1573.0977.8098.72
Current other receivables319.66373.34481.87499.71480.61
Short term receivables total886.19970.661 107.11842.09731.73
Other current investments11.0612.5116.1918.911 993.28
Cash and bank deposits809.62608.93464.04827.341 442.69
Cash and cash equivalents820.67621.43480.23846.253 435.97
Balance sheet total (assets)21 172.7420 890.7020 862.4620 658.3621 910.88

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased500.00
Retained earnings4 762.986 322.926 511.507 208.257 321.96
Profit of the financial year1 559.94688.58696.75113.711 743.84
Shareholders equity total6 822.927 511.508 208.257 821.969 565.80
Provisions888.87844.17787.19822.12718.88
Non-current loans from credit institutions7 671.907 979.996 246.879 114.904 235.44
Non-current accruals and deferred income615.53767.84724.77681.70
Non-current other liabilities-3 372.2694.98
Non-current liabilities total7 671.908 595.537 014.716 467.405 012.13
Current loans from credit institutions1 886.55691.10799.711 669.062 007.62
Current trade creditors1 402.571 239.451 608.351 790.761 964.79
Current owed to group member150.68140.25125.41440.27367.06
Short-term deferred tax liabilities183.57405.56476.03507.43594.89
Other non-interest bearing current liabilities2 165.681 463.141 842.821 139.371 679.70
Current liabilities total5 789.053 939.514 852.325 546.886 614.07
Balance sheet total (liabilities)21 172.7420 890.7020 862.4620 658.3621 910.88
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