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MM PROPERTIES ApS — Credit Rating and Financial Key Figures

CVR number: 36080035
Sankt Annæ Plads 28, 1250 København K
marc@mmproperties.dk
tel: 71720001
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit2 998.253 821.713 531.301 628.841 032.00
Employee benefit expenses-1 655.14-1 885.42-2 213.92-2 543.91-2 682.12
Total depreciation-71.85-6.88-13.19-73.58-73.58
Reduction in value of non-current assets3 732.32504.99-5 600.001 200.002 709.48
EBIT5 003.582 434.40-4 295.81211.34985.79
Other financial income211.6035.851 808.736 116.906 610.75
Other financial expenses-3 320.92-3 588.63-5 506.50-4 969.92-4 161.52
Net income from associates (fin.)21 846.4627 465.3324 412.5313 224.5119 945.84
Pre-tax profit23 740.7226 346.9616 418.9514 582.8423 380.86
Income taxes- 252.47- 942.042 543.71-77.89- 779.04
Net earnings23 488.2525 404.9218 962.6614 504.9522 601.83

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings65 700.0066 650.0061 050.0042 750.0046 113.00
Machinery and equipment6.88354.72281.14207.55
Tangible assets total65 706.8866 650.0061 404.7243 031.1446 320.56
Holdings in group member companies93 173.52110 406.18152 229.40120 453.92138 124.76
Participating interests11 693.5621 926.22
Investments total105 173.64132 541.72152 331.46120 557.81138 233.05
Non-curr. owed by group member comp.34 977.2576 946.6689 861.86
Non-curr. owed by particip. interest comp.3 012.11
Long term receivables total3 012.1134 977.2576 946.6689 861.86
Inventories total
Current trade debtors3.22
Current amounts owed by group member comp.2.359.76
Prepayments and accrued income90.2292.05162.43182.52198.30
Current other receivables739.652 240.331 327.89883.211 191.59
Current deferred tax assets130.28601.956.00
Short term receivables total963.362 934.321 492.681 075.491 395.89
Cash and bank deposits59.1220.9917 119.4532 572.4026 779.27
Cash and cash equivalents59.1220.9917 119.4532 572.4026 779.27
Balance sheet total (assets)174 915.11202 147.03267 325.56274 183.48302 590.63

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital53.7653.7667.5567.5567.55
Shares repurchased600.00600.0017 427.464 725.004 725.00
Other reserves7 591.3835 515.9731 514.657 137.3724 788.22
Retained earnings50 295.0046 751.10146 017.41196 841.15188 822.17
Profit of the financial year23 488.2525 404.9218 962.6614 504.9522 601.83
Shareholders equity total82 028.38108 325.74213 989.74223 276.03241 004.76
Provisions1 475.003 018.98812.831 057.781 791.71
Non-current loans from credit institutions32 787.1331 652.9430 980.7622 003.1221 409.14
Non-current owed to group member19 424.7120 015.53
Non-current other liabilities2 070.502 848.912 887.39766.561 092.13
Non-current liabilities total54 282.3454 517.3933 868.1522 769.6822 501.27
Current loans from credit institutions36 463.9135 358.1916 987.0626 217.0536 353.53
Advances received128.78535.85432.24458.68500.46
Current trade creditors37.5813.74126.7362.1479.20
Current owed to group member600.00
Other non-interest bearing current liabilities499.12359.77482.96322.47351.39
Accruals and deferred income17.3725.8619.658.29
Current liabilities total37 129.3936 284.9218 654.8427 079.9837 292.88
Balance sheet total (liabilities)174 915.11202 147.03267 325.56274 183.48302 590.63
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