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HANSTHOLM CAMPING ApS — Credit Rating and Financial Key Figures

CVR number: 15205776
Hamborgvej 95, Febbersted 7730 Hanstholm
bent@hanstholm-camping.dk
tel: 97965470
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit4 613.833 776.523 115.252 870.222 723.20
Employee benefit expenses-1 541.08-1 531.41-1 553.60-1 385.08-1 005.82
Other operating expenses- 144.21
Total depreciation- 650.26- 534.66- 555.93- 538.06-9 200.15
EBIT2 422.501 710.451 005.72947.09-7 626.97
Other financial income45.6269.2071.6162.6857.31
Other financial expenses- 482.68- 460.04- 935.31-1 233.16-1 167.21
Pre-tax profit1 985.441 319.61142.02- 223.40-8 736.86
Income taxes- 436.88- 290.32-31.4549.111 916.38
Net earnings1 548.561 029.30110.58- 174.29-6 820.49

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters27 063.3327 031.8528 181.9128 280.4619 500.00
Buildings425.47348.41244.24143.6998.91
Machinery and equipment345.20345.20345.20345.20
Tangible assets total27 834.0127 725.4628 771.3528 769.3519 598.91
Investments total3.003.003.003.00
Long term receivables total
Finished products/goods205.00150.00150.00150.00150.00
Inventories total205.00150.00150.00150.00150.00
Current amounts owed by group member comp.9.8922.0746.8278.65
Prepayments and accrued income342.95459.00603.40654.83332.69
Current other receivables32.244.38
Current deferred tax assets63.25
Short term receivables total342.95501.13629.85701.65474.59
Cash and bank deposits130.7154.5741.1114.4519.64
Cash and cash equivalents130.7154.5741.1114.4519.64
Balance sheet total (assets)28 512.6628 434.1529 595.3129 638.4620 246.14

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital615.00615.00615.00615.00615.00
Retained earnings4 729.746 278.307 307.607 418.187 243.89
Profit of the financial year1 548.561 029.30110.58- 174.29-6 820.49
Shareholders equity total6 893.307 922.608 033.187 858.891 038.40
Provisions1 580.471 870.791 902.231 853.12
Non-current loans from credit institutions14 841.7413 865.3113 935.2712 957.6012 322.00
Non-current owed to group member480.00
Non-current other liabilities102.33
Non-current deferred tax liabilities40.0020.00
Non-current liabilities total15 424.0813 905.3113 955.2712 957.6012 322.00
Current loans from credit institutions1 247.402 906.973 880.085 404.305 515.43
Current trade creditors83.89214.96121.6035.75116.24
Current owed to participating278.79
Other non-interest bearing current liabilities2 397.611 430.861 484.641 302.821 053.25
Accruals and deferred income607.12182.67218.31225.97200.82
Current liabilities total4 614.814 735.465 704.636 968.856 885.74
Balance sheet total (liabilities)28 512.6628 434.1529 595.3129 638.4620 246.14
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