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TrapMe ApS — Credit Rating and Financial Key Figures

CVR number: 41344091
Skrænten 11, 9610 Nørager
contact@trapme.dk
tel: 29644492
https://trapme.dk/
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit127.32441.031 398.39235.56721.98
Employee benefit expenses-1 045.78-2 332.34- 772.16-1.12
Total depreciation-76.22-1 584.10- 205.75- 224.33
EBIT- 918.46-1 967.53- 957.8728.69497.64
Other financial income0.480.811 413.280.490.16
Other financial expenses-7.85-9.00-60.03-53.77-10.52
Pre-tax profit- 925.83-1 975.72395.38-24.60487.28
Income taxes255.22518.07238.225.03- 107.22
Net earnings- 670.60-1 457.65633.61-19.56380.06

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure813.032 016.011 475.791 576.753 167.68
Intangible assets total813.032 016.011 475.791 576.753 167.68
Tangible assets total
Investments total19.8020.2021.3414.1114.53
Non-current loans receivable-19.80
Non-current other receivables19.80
Long term receivables total
Finished products/goods49.2880.83348.36462.540.10
Advance payments54.04
Inventories total49.2880.83348.36462.5454.14
Current trade debtors321.95408.92298.96203.30163.44
Current amounts owed by group member comp.178.8716.98
Prepayments and accrued income1.361.33
Current other receivables30.94713.04
Current deferred tax assets255.22782.737.20146.61139.41
Short term receivables total577.171 401.451 020.56366.89304.19
Cash and bank deposits1 326.95255.7767.65464.07120.40
Cash and cash equivalents1 326.95255.7767.65464.07120.40
Balance sheet total (assets)2 786.243 774.242 933.712 884.353 660.93

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital54.0060.0060.0060.0060.00
Other reserves634.161 572.481 151.121 229.872 470.79
Retained earnings811.84196.91160.63715.49- 545.00
Profit of the financial year- 670.60-1 457.65633.61-19.56380.06
Shareholders equity total829.40371.752 005.361 985.792 365.86
Provisions443.53212.50346.88454.10
Non-current other liabilities33.79
Non-current deferred tax liabilities36.1137.2338.61
Non-current liabilities total33.7936.1137.2338.61
Advances received1 057.031 009.66
Current trade creditors218.40459.44521.97368.35607.28
Current owed to group member231.84775.3666.6685.69
Other non-interest bearing current liabilities449.57680.7391.11146.08109.40
Current liabilities total1 956.842 925.18679.74514.44802.37
Balance sheet total (liabilities)2 786.243 774.242 933.712 884.353 660.93
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