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ESBJERG FORENEDE BOLDKLUBBER ELITEFODBOLD A/S — Credit Rating and Financial Key Figures

CVR number: 15619376
Gl Vardevej 82, 6700 Esbjerg
tel: 75122814

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit33 764.0012 570.0013 814.0026 899.0028 549.00
Employee benefit expenses-41 124.00-37 821.00-33 636.00-32 870.00-29 827.00
Total depreciation-4 225.00-3 619.00-2 564.00-2 157.00-1 274.00
EBIT-11 585.00-28 870.00-22 386.00-8 128.00-2 552.00
Other financial income167.00300.00125.00
Other financial expenses- 639.00- 444.00- 459.00- 352.00- 276.00
Pre-tax profit-12 224.00-29 314.00-22 678.00-8 180.00-2 703.00
Income taxes154.00
Net earnings-12 224.00-29 314.00-22 678.00-8 180.00-2 549.00

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights5 757.003 586.001 986.001 255.002 779.00
Intangible assets total5 757.003 586.001 986.001 255.002 779.00
Land and waters483.00525.00323.00148.00114.00
Buildings448.00296.00151.0046.00417.00
Machinery and equipment1 634.001 495.00902.00707.00857.00
Tangible assets total2 565.002 316.001 376.00901.001 388.00
Holdings in group member companies400.00400.00
Investments total400.00400.00
Non-current other receivables500.00603.00900.00
Long term receivables total500.00603.00900.00
Finished products/goods409.00664.00621.00486.0081.00
Inventories total409.00664.00621.00486.0081.00
Current trade debtors2 178.002 900.002 690.004 759.002 101.00
Current amounts owed by group member comp.2 245.00
Prepayments and accrued income425.00496.001 181.00936.00943.00
Current other receivables7 912.002 801.002 044.004 725.006 368.00
Current deferred tax assets154.00
Short term receivables total10 515.006 197.005 915.0010 420.0011 811.00
Cash and bank deposits43 880.0017 326.005 416.002 049.006 064.00
Cash and cash equivalents43 880.0017 326.005 416.002 049.006 064.00
Balance sheet total (assets)63 626.0030 089.0015 917.0015 511.0023 423.00

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital56 612.0056 612.0056 612.001 000.001 000.00
Retained earnings-12 224.00-41 538.003 396.006 622.00
Profit of the financial year-12 224.00-29 314.00-22 678.00-8 180.00-2 549.00
Shareholders equity total44 388.0015 074.00-7 604.00-3 784.005 073.00
Non-current other liabilities3 645.00188.00
Non-current deferred tax liabilities3 624.004 092.003 868.003 858.00
Non-current liabilities total3 645.003 624.004 092.003 868.004 046.00
Current trade creditors2 656.001 956.005 412.003 316.006 373.00
Current owed to participating45.00202.00352.0011.00
Current owed to group member4 117.004 000.00
Other non-interest bearing current liabilities7 688.005 222.006 511.002 872.001 637.00
Accruals and deferred income5 204.004 011.003 389.004 887.006 283.00
Current liabilities total15 593.0011 391.0019 429.0015 427.0014 304.00
Balance sheet total (liabilities)63 626.0030 089.0015 917.0015 511.0023 423.00
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