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TRAINYOUREYES.COM ApS — Credit Rating and Financial Key Figures

CVR number: 25253450
Fredericiavej 87, 7100 Vejle
Info@TrainYourEyes.com
tel: 70262023
www.TrainYourEyes.com
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit662.33793.28884.58833.13825.11
Employee benefit expenses- 382.46- 572.97- 649.65- 676.83- 726.77
Total depreciation-23.41-13.48-1.62-1.62-1.62
EBIT256.46206.83233.31154.6796.71
Other financial expenses-97.28-50.10-54.31-52.38-49.45
Pre-tax profit159.18156.73179.00102.3047.26
Income taxes-35.69-34.91-40.72-23.42-13.58
Net earnings123.49121.81138.2878.8733.68

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters3 196.613 161.003 159.383 157.763 156.14
Machinery and equipment38.0438.0438.0438.0438.04
Tangible assets total3 234.653 199.043 197.423 195.803 194.18
Investments total
Long term receivables total
Finished products/goods48.5972.8885.8884.9889.13
Inventories total48.5972.8885.8884.9889.13
Current trade debtors75.5076.5770.5380.8158.15
Current other receivables3.8019.8923.4227.022.00
Current deferred tax assets31.0235.0035.5336.0536.55
Short term receivables total110.33131.46129.48143.8896.70
Cash and bank deposits145.3960.0941.2117.560.41
Cash and cash equivalents145.3960.0941.2117.560.41
Balance sheet total (assets)3 538.953 463.473 453.993 442.223 380.42

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00125.00
Asset revaluation reserve385.03384.27383.51382.75381.99
Shares repurchased100.00100.00100.00100.00
Retained earnings461.59485.84508.41547.45627.08
Profit of the financial year123.49121.81138.2878.8733.68
Shareholders equity total1 195.111 216.921 255.201 234.071 167.75
Non-current loans from credit institutions1 830.361 755.871 691.731 629.471 574.59
Non-current liabilities total1 830.361 755.871 691.731 629.471 574.59
Current loans from credit institutions55.9166.1666.0864.1685.35
Current trade creditors4.699.373.2223.9829.44
Current owed to group member264.57274.03255.68359.43393.13
Short-term deferred tax liabilities41.5538.9080.1423.8414.09
Other non-interest bearing current liabilities122.3675.85101.94107.27116.08
Accruals and deferred income24.4026.39
Current liabilities total513.48490.69507.06578.68638.08
Balance sheet total (liabilities)3 538.953 463.473 453.993 442.223 380.42
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