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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

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit5 943.618 343.548 025.608 692.128 375.52
Employee benefit expenses-3 719.45-3 924.28-4 339.43-5 109.44-5 526.76
Other operating expenses-5.41
Total depreciation- 514.54- 449.68- 443.32- 426.66- 390.35
EBIT1 709.623 969.583 242.853 150.612 458.41
Other financial income0.301.960.34-0.90
Other financial expenses-14.98-10.77-7.68-22.25-43.41
Pre-tax profit1 694.643 959.113 237.133 128.702 414.10
Income taxes- 380.70- 873.21- 713.71- 688.66- 532.46
Net earnings1 313.943 085.902 523.422 440.041 881.64

Assets (kDKK)

2021
2022
2023
2024
2025
Goodwill2 151.251 836.251 521.251 206.25891.25
Intangible assets total2 151.251 836.251 521.251 206.25891.25
Buildings2 070.25
Machinery and equipment389.97255.29126.9715.31217.26
Tangible assets total389.97255.29126.9715.312 287.51
Investments total63.5564.1566.8372.1472.42
Long term receivables total
Raw materials and consumables10.0010.0010.0010.0010.00
Inventories total10.0010.0010.0010.0010.00
Current trade debtors381.30517.90480.59441.85688.42
Current amounts owed by group member comp.499.504 887.968 371.9412 411.9712 268.79
Prepayments and accrued income7.3815.3829.08
Current other receivables144.5056.1019.5318.441.56
Short term receivables total1 025.315 461.968 879.4412 887.6412 987.85
Cash and bank deposits474.85149.65229.2042.7644.30
Cash and cash equivalents474.85149.65229.2042.7644.30
Balance sheet total (assets)4 114.947 777.3110 833.6814 234.1016 293.33

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital50.0050.0050.0050.0050.00
Shares repurchased7 500.007 500.00
Retained earnings949.902 263.845 349.74373.162 813.20
Profit of the financial year1 313.943 085.902 523.422 440.041 881.64
Shareholders equity total2 313.845 399.747 923.1610 363.2012 244.84
Provisions139.16160.15167.90144.36246.56
Non-current deferred tax liabilities368.09852.22705.96712.19430.26
Non-current liabilities total368.09852.22705.96712.19430.26
Current loans from credit institutions1 522.481 363.87
Advances received120.8969.65197.87129.5172.64
Current trade creditors159.43219.27174.74129.94759.65
Current owed to group member19.3217.8217.8217.8217.82
Short-term deferred tax liabilities284.47368.09852.22705.96712.19
Other non-interest bearing current liabilities666.75689.23790.90507.28445.48
Accruals and deferred income42.981.143.111.350.02
Current liabilities total1 293.851 365.202 036.663 014.353 371.66
Balance sheet total (liabilities)4 114.947 777.3110 833.6814 234.1016 293.33
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