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FAIRTRANS A/S — Credit Rating and Financial Key Figures

CVR number: 52839513
Kliplev Erhvervspark 20, Kliplev 6200 Aabenraa
sped@fairtrans.dk
tel: 73687701
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit37 656.0044 996.0044 570.6540 307.9844 790.14
Employee benefit expenses-28 442.30-29 162.83-31 842.43
Other operating expenses-15.00-1 211.82
Total depreciation-8 531.42-7 007.23-4 688.85
EBIT4 563.008 130.007 581.944 137.927 047.05
Other financial income213.85324.52107.18
Other financial expenses-1 434.71-1 595.60-1 430.44
Pre-tax profit4 382.006 419.006 361.082 866.855 723.79
Income taxes-1 389.14- 623.54-1 296.83
Net earnings4 382.006 419.004 971.942 243.314 426.96

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights298.10153.68106.14
Intangible assets total298.10153.68106.14
Land and waters46 898.6246 667.3746 112.38
Machinery and equipment19 204.8714 130.4013 093.68
Tangible assets total66 103.4960 797.7759 206.06
Investments total110 899.00116 177.00329.54329.54336.37
Non-current loans receivable10.0010.00
Long term receivables total10.0010.00
Inventories total
Current trade debtors25 835.0527 238.3027 286.18
Current amounts owed by group member comp.6 583.904 755.94
Prepayments and accrued income265.49824.021 216.91
Current other receivables173.85608.16844.09
Short term receivables total32 858.2828 670.4834 103.11
Cash and bank deposits531.501 404.054 814.96
Cash and cash equivalents531.501 404.054 814.96
Balance sheet total (assets)110 899.00116 177.00100 130.9191 365.5398 566.65

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital16 010.0018 029.002 000.002 000.002 000.00
Shares repurchased2 000.004 410.00
Retained earnings-4 382.00-6 419.009 028.9314 000.8611 834.17
Profit of the financial year4 382.006 419.004 971.942 243.314 426.96
Shareholders equity total16 010.0018 029.0018 000.8618 244.1722 671.13
Provisions5 874.216 266.116 571.69
Non-current loans from credit institutions25 840.4829 567.9337 176.08
Non-current leasing loans9 427.558 411.356 188.04
Non-current deferred tax liabilities1 345.511 332.16
Non-current liabilities total36 613.5439 311.4543 364.12
Current loans from credit institutions7 263.764 632.304 143.87
Advances received333.24340.33
Current trade creditors6 547.4810 176.0511 021.78
Current owed to group member20 397.5710 087.518 662.30
Short-term deferred tax liabilities656.26231.64991.25
Other non-interest bearing current liabilities4 413.862 069.95943.17
Accruals and deferred income30.136.03197.35
Current liabilities total39 642.3027 543.8025 959.72
Balance sheet total (liabilities)16 010.0018 029.00100 130.9191 365.5398 566.65
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