3E Denmark ApS — Credit Rating and Financial Key Figures

CVR number: 26916003
Ørestads Boulevard 73, 2300 København S
Free credit report Annual report

Income statement (kEUR)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales11 950.0011 410 049.0011 088.8711 300.488 755.02
Change in finished goods inventory- 380.00- 435 351.00
Other operating income27.62
External services-8 655.00-8 136 785.00-18 885.65-5 743.23-5 440.64
Gross profit2 915.002 837 913.00-7 796.785 557.263 342.00
Employee benefit expenses-2 371.00-2 000 024.00-2 700.49-3 084.30-1 617.39
Total depreciation-3.00- 115.00-9.22-6.34
EBIT541.00837 774.00-10 497.272 463.731 718.27
Other financial income224.004.00483.9995.27
Other financial expenses-68.00- 784 142.00-56.62-5.81-2 107.65
Pre-tax profit697.0053 636.00-10 069.902 553.19- 389.37
Income taxes- 155.00-11 824.00- 134.26- 564.1876.07
Net earnings542.0041 812.00-10 204.161 989.01- 313.31

Assets (kEUR)

2020
2021
2022
2023
2024
Development expenditure2 700.0020.8414.518.16
Intangible assets total2 700.0020.8414.518.16
Machinery and equipment2.90
Tangible assets total2.90
Investments total31.0031 315.005.5218.4015.18
Non-current other receivables46.0046 222.00
Long term receivables total46.0046 222.00
Inventories total
Current trade debtors1 521.001 490 506.003 968.142 852.382 317.79
Current amounts owed by group member comp.4 057.0012 431 640.00845.07697.75786.71
Prepayments and accrued income1 070.001 287 579.001 579.11976.77992.02
Current other receivables16.0026 181.0034.08
Current deferred tax assets4.00203 653.00132.5574.84
Short term receivables total6 668.0015 439 559.006 524.874 526.904 205.45
Cash and bank deposits11 811.007 028 685.007 515.892 156.411 606.33
Cash and cash equivalents11 811.007 028 685.007 515.892 156.411 606.33
Balance sheet total (assets)18 556.0022 548 481.0014 070.016 716.225 835.11

Equity and liabilities (kEUR)

2020
2021
2022
2023
2024
Share capital134.00134 273.00134.27134.27134.27
Retained earnings3 987.004 529 544.00171.36-10 032.80-8 043.79
Profit of the financial year542.0041 812.00-10 204.161 989.01- 313.31
Shareholders equity total4 663.004 705 629.00-9 898.53-7 909.51-8 222.82
Provisions2.591.22
Non-current liabilities total
Current trade creditors74.0040 385.0050.38105.9367.47
Current owed to group member9 776.0014 227 264.0018 340.368 914.6910 704.45
Short-term deferred tax liabilities48.00481.12
Other non-interest bearing current liabilities523.00182 111.00253.12607.99310.00
Accruals and deferred income3 472.003 393 092.005 322.094 514.792 976.02
Current liabilities total13 893.0017 842 852.0023 965.9514 624.5214 057.94
Balance sheet total (liabilities)18 556.0022 548 481.0014 070.016 716.225 835.11
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