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Tandlægeselskabet Dentalklinikken Hedehusene ApS — Credit Rating and Financial Key Figures

CVR number: 38119311
Hovedgaden 405, 2640 Hedehusene
Free credit report Annual report

Company information

Official name
Tandlægeselskabet Dentalklinikken Hedehusene ApS
Personnel
15 persons
Established
2016
Company form
Private limited company
Industry

About Tandlægeselskabet Dentalklinikken Hedehusene ApS

Tandlægeselskabet Dentalklinikken Hedehusene ApS (CVR number: 38119311) is a company from Høje-Taastrup. The company recorded a gross profit of 8375.5 kDKK in 2025. The operating profit was 2458.4 kDKK, while net earnings were 1881.6 kDKK. The profitability of the company measured by Return on Assets (ROA) was 16.1 %, which can be considered excellent and Return on Equity (ROE) was 16.6 %, which can be considered excellent. The equity ratio, a key indicator for solidity, stood at 75.5 %, a level that can be considered to be good. This shows that a large part of the company's assets are funded by shareholders' equity, reducing financial risk. Tandlægeselskabet Dentalklinikken Hedehusene ApS's liquidity measured by quick ratio was 4 which is at a very high level. Thus, the company demonstrates exceptional financial stability, possessing a significant surplus of liquid assets over its short-term liabilities.

Financial information

See financials

Gross profit (kDKK)

EBIT (kDKK)

Profitability

Solidity

Key figures (kDKK)

See financials
2021
2022
2023
2024
2025
Volume
Net sales
Gross profit5 943.618 343.548 025.608 692.128 375.52
EBIT1 709.623 969.583 242.853 150.612 458.41
Net earnings1 313.943 085.902 523.422 440.041 881.64
Shareholders equity total2 313.845 399.747 923.1610 363.2012 244.84
Balance sheet total (assets)4 114.947 777.3110 833.6814 234.1016 293.33
Net debt- 455.53- 131.83- 211.381 497.541 337.39
Profitability
EBIT-%
ROA41.2 %66.8 %34.9 %25.1 %16.1 %
ROE79.3 %80.0 %37.9 %26.7 %16.6 %
ROI64.8 %98.6 %47.4 %31.3 %19.0 %
Economic value added (EVA)1 184.662 969.832 247.602 049.661 310.77
Solvency
Equity ratio57.9 %70.1 %74.5 %73.5 %75.5 %
Gearing0.8 %0.3 %0.2 %14.9 %11.3 %
Relative net indebtedness %
Liquidity
Quick ratio1.34.35.04.54.0
Current ratio1.24.14.54.33.9
Cash and cash equivalents474.85149.65229.2042.7644.30
Capital use efficiency
Trade debtors turnover (days)
Net working capital %
Credit risk
Credit ratingBBBBBBBBBAA

Variable visualization

ROA:16.1%
Rating: 68/100
-20%
0%
4%
11%
24%
60%
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Equity ratio:75.5%
Rating: 56/100
-1%
21%
50%
81%
99%
100%
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Roles

Chairman of the board
Board member

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