THINK FAST ApS — Credit Rating and Financial Key Figures

CVR number: 35529497
Ringstedgårdsvej 5, Sønder Nærå 5792 Årslev
info@kaspererling.dk
tel: 60188087
www.boosted.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit424.38930.69818.201 460.041 556.28
Employee benefit expenses- 321.15- 272.16- 660.69-1 154.43-1 349.26
Total depreciation-53.19-43.86-32.70-90.00
EBIT50.05614.67124.81305.62117.02
Other financial income0.100.10
Other financial expenses-46.92-30.50-9.79-1.49-8.45
Pre-tax profit3.23584.28115.03304.13108.57
Income taxes-2.82- 141.87-18.28-85.17-37.86
Net earnings0.40442.4096.74218.9670.71

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment90.9971.3838.68289.21479.21
Tangible assets total90.9971.3838.68289.21479.21
Investments total7.5014.396.906.90
Deferred tax assets132.367.108.24
Long term receivables total132.367.108.24
Finished products/goods29.21333.70333.70
Inventories total29.21333.70333.70
Current trade debtors21.26170.7064.7486.62138.17
Prepayments and accrued income3.3626.2558.8858.8846.72
Current other receivables99.591 196.320.0123.4648.52
Short term receivables total124.211 393.27123.64168.97233.41
Cash and bank deposits10.2410.83530.49132.5622.41
Cash and cash equivalents10.2410.83530.49132.5622.41
Balance sheet total (assets)387.001 490.08715.44931.341 075.63

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital80.0080.0080.0080.0080.00
Share premium account20.0020.0020.0020.0020.00
Shares repurchased234.00
Other reserves- 234.00
Retained earnings- 488.75- 488.34-45.94- 181.6937.27
Profit of the financial year0.40442.4096.74218.9670.71
Shareholders equity total- 388.3454.06150.80137.27207.98
Provisions47.1546.87
Non-current liabilities total
Current loans from credit institutions568.60368.52141.24
Advances received157.32189.13182.95182.95182.95
Current trade creditors11.12853.2878.36118.1771.29
Short-term deferred tax liabilities16.6129.3328.4938.14
Other non-interest bearing current liabilities38.308.49274.00417.30387.15
Current liabilities total775.341 436.02564.64746.91820.78
Balance sheet total (liabilities)387.001 490.08715.44931.341 075.63
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