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Master Care A/S — Credit Rating and Financial Key Figures

CVR number: 36941022
Sofienlystvej 3, 8340 Malling
vidar@master-care.dk
tel: 86938505
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit5 135.055 508.833 162.023 744.884 244.76
Employee benefit expenses-4 690.51-5 275.64-5 039.23-4 468.61-3 510.22
Other operating expenses-80.50
Total depreciation-84.65-76.94-80.72-44.92-40.74
EBIT279.39156.25-1 957.93- 768.65693.81
Other financial income60.1356.9185.3261.2932.11
Other financial expenses- 231.54- 227.07- 248.67- 228.18- 171.55
Net income from associates (fin.)237.43194.31218.09- 206.64- 135.79
Pre-tax profit345.40180.40-1 903.19-1 142.18418.58
Income taxes-24.531.80111.30
Net earnings320.87182.21-1 791.89-1 142.18418.58

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights173.33148.57123.8199.05
Intangible assets total173.33148.57123.8199.05
Buildings28.7320.7112.704.68
Machinery and equipment161.9693.0445.1032.9621.66
Tangible assets total190.69113.7557.7937.6321.66
Holdings in group member companies1 510.741 705.051 923.27216.6480.87
Investments total1 654.771 849.092 067.31360.67224.91
Long term receivables total
Finished products/goods8 640.8312 377.1711 298.2811 408.949 827.18
Inventories total8 640.8312 377.1711 298.2811 408.949 827.18
Current trade debtors1 485.61737.43470.921 033.06726.94
Current amounts owed by group member comp.1 772.16846.411 067.661 219.551 050.70
Prepayments and accrued income234.94241.47250.92108.0086.81
Current other receivables17.620.6218.24
Short term receivables total3 492.701 842.941 790.122 360.611 882.69
Cash and bank deposits3 991.911 112.891 153.39242.712 167.98
Cash and cash equivalents3 991.911 112.891 153.39242.712 167.98
Balance sheet total (assets)17 970.9217 469.1816 515.4614 534.3814 223.46

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Other reserves1 199.081 393.401 611.62
Retained earnings12 555.8112 682.3812 646.4912 466.2211 324.07
Profit of the financial year320.87182.21-1 791.89-1 142.18418.58
Shareholders equity total14 575.7714 757.9812 966.2211 824.0412 242.65
Provisions12.6242.42
Non-current liabilities total
Current loans from credit institutions68.6925.3374.401 736.62841.01
Current trade creditors428.29768.16570.11344.48555.00
Current owed to participating107.60148.09185.75110.54108.44
Current owed to group member80.36490.091 457.684.79
Other non-interest bearing current liabilities2 697.591 237.111 261.30513.91476.36
Current liabilities total3 382.532 668.783 549.242 710.341 980.81
Balance sheet total (liabilities)17 970.9217 469.1816 515.4614 534.3814 223.46
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