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HOTEL SKAGA ApS — Credit Rating and Financial Key Figures

CVR number: 24230996
Willemoesvej 1, 9850 Hirtshals
skaga@skagahotel.dk
tel: 98945500
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit9 248.1712 173.0413 590.0713 253.1812 996.05
Employee benefit expenses-8 777.08-11 026.11-11 772.20-12 823.70-13 178.80
Other operating expenses-65.88
Total depreciation- 735.63- 878.44- 947.42-1 032.64-1 017.78
EBIT- 264.53268.50870.45- 669.04-1 200.53
Other financial income4.414.632.6410.708.67
Other financial expenses-28.29-28.11-10.19-9.07-0.01
Pre-tax profit- 288.41245.01862.90- 667.41-1 191.87
Income taxes20.50100.21
Net earnings- 288.41245.01862.90- 646.90-1 091.66

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Machinery and equipment4 170.385 411.815 135.814 176.443 219.47
Tangible assets total4 170.385 411.815 135.814 176.443 219.47
Investments total
Long term receivables total
Raw materials and consumables253.01239.57226.95270.51378.78
Inventories total253.01239.57226.95270.51378.78
Current trade debtors317.03440.99754.83575.94735.93
Current amounts owed by group member comp.93.2592.7592.7592.75
Prepayments and accrued income41.71101.19179.26136.74100.18
Current other receivables2 329.22611.59970.14559.11128.90
Current deferred tax assets20.50100.21
Short term receivables total2 781.211 246.521 996.981 385.041 065.22
Cash and bank deposits2 991.074 678.69703.65768.79758.94
Cash and cash equivalents2 991.074 678.69703.65768.79758.94
Balance sheet total (assets)10 195.6711 576.598 063.396 600.785 422.41

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital700.00700.00700.00700.00700.00
Retained earnings709.01420.61665.621 528.511 881.61
Profit of the financial year- 288.41245.01862.90- 646.90-1 091.66
Shareholders equity total1 120.611 365.622 228.511 581.611 489.95
Non-current other liabilities279.18
Non-current deferred tax liabilities285.04295.02
Non-current liabilities total279.18285.04295.02
Advances received156.97100.00120.93299.32331.50
Current trade creditors393.94412.051 012.53563.94445.68
Current owed to group member4 994.257 848.442 912.923 261.812 110.87
Other non-interest bearing current liabilities3 250.721 565.441 493.48894.101 044.41
Current liabilities total8 795.899 925.935 539.865 019.173 932.46
Balance sheet total (liabilities)10 195.6711 576.598 063.396 600.785 422.41
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