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RESHOPPER ApS — Credit Rating and Financial Key Figures

CVR number: 34711763
Inge Lehmanns Gade 10, 8000 Aarhus C
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit3 691.335 001.737 220.2310 898.5411 974.46
Employee benefit expenses- 995.21-3 240.90-4 001.13-5 925.77-7 659.08
Total depreciation-1 007.35-1 402.26-1 105.06-1 410.08-2 008.79
EBIT1 688.76358.572 114.043 562.692 306.59
Other financial income0.000.182.99
Other financial expenses- 532.74- 728.53-1 056.31- 907.09-1 531.10
Reduction non-current investment assets-16 644.14
Pre-tax profit1 156.02- 369.961 057.73-13 988.36778.48
Income taxes171.87371.911 049.18- 534.68- 121.84
Net earnings1 327.891.962 106.92-14 523.04656.64

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure4 203.104 497.526 287.477 994.559 695.75
Goodwill99.1789.17
Intangible assets total4 203.104 497.526 287.478 093.729 784.91
Machinery and equipment474.01466.30
Tangible assets total474.01466.30
Holdings in group member companies5 250.00
Investments total46.8347.795 300.0650.8769.14
Non-curr. owed by group member comp.1 194.79
Long term receivables total1 194.79
Finished products/goods6 777.735 234.39
Inventories total6 777.735 234.39
Current trade debtors327.25443.94170.9019.52
Prepayments and accrued income33.7948.07
Current other receivables429.701 468.331 401.46825.24
Current deferred tax assets473.02844.67309.99188.15
Short term receivables total800.27873.642 483.891 745.241 080.98
Cash and bank deposits1 200.75186.7319.613 085.09
Cash and cash equivalents1 200.75186.7319.613 085.09
Balance sheet total (assets)6 250.955 605.6714 071.4217 161.1820 915.60

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital113.02113.02191.22191.22239.03
Other reserves4 203.104 497.524 904.226 235.757 562.68
Retained earnings-8 798.32-7 764.84-2 995.95-2 220.56-8 118.39
Profit of the financial year1 327.891.962 106.92-14 523.04656.64
Shareholders equity total-3 154.31-3 152.364 206.41-10 316.63339.96
Non-current loans from credit institutions6 063.246 234.685 287.914 610.90
Non-current owed to group member6 878.68
Non-current accruals and deferred income180.00180.85
Non-current other liabilities6 575.64178.1359.38- 180.00- 180.85
Non-current deferred tax liabilities432.3959.3859.38
Non-current liabilities total6 575.646 241.376 726.4512 225.974 670.28
Current loans from credit institutions771.70801.171 011.14754.00825.00
Current trade creditors484.16296.311 189.482 860.982 289.96
Current owed to participating113.83118.39124.44
Current owed to group member6 088.76
Short-term deferred tax liabilities432.39
Other non-interest bearing current liabilities1 459.931 300.79813.495 115.7212 790.41
Current liabilities total2 829.622 516.663 138.5715 251.8415 905.37
Balance sheet total (liabilities)6 250.955 605.6714 071.4217 161.1820 915.60
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