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CAIROSCONSULT A/S — Credit Rating and Financial Key Figures

CVR number: 31787041
Pilestræde 44, 1112 København K
cairos@cairos.dk
tel: 25151945
www.cairos.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit3 906.854 657.703 598.573 961.363 026.53
Employee benefit expenses-3 033.38-3 328.92-3 290.62-3 301.11-2 780.74
EBIT873.471 328.78307.95660.25245.80
Other financial income0.090.500.550.34
Other financial expenses-15.45-14.99-8.20-0.54
Pre-tax profit858.111 313.78300.25660.80245.60
Income taxes- 192.12- 291.48-71.76- 144.08-57.04
Net earnings665.991 022.31228.49516.72188.56

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Tangible assets total
Investments total
Non-current loans receivable5.255.125.636.176.51
Non-current other receivables63.2064.9872.14
Long term receivables total68.4570.1177.776.176.51
Inventories total
Current trade debtors547.95437.181 035.09436.09718.92
Prepayments and accrued income52.0733.3830.2562.4042.88
Current other receivables72.3772.14117.18
Current deferred tax assets7.5051.9334.45
Short term receivables total679.90470.561 117.27570.63913.44
Cash and bank deposits1 731.142 240.241 006.551 450.67744.03
Cash and cash equivalents1 731.142 240.241 006.551 450.67744.03
Balance sheet total (assets)2 479.492 780.902 201.592 027.471 663.97

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased600.001 000.00500.00360.00380.00
Retained earnings- 372.58- 706.59- 184.28- 315.79- 179.07
Profit of the financial year665.991 022.31228.49516.72188.56
Shareholders equity total1 393.411 815.721 044.211 060.93889.49
Non-current liabilities total
Advances received153.47106.29383.17210.99179.52
Current trade creditors27.3246.314.4325.3955.56
Short-term deferred tax liabilities81.3917.95
Other non-interest bearing current liabilities905.29731.19769.79712.22539.40
Current liabilities total1 086.07965.181 157.39966.55774.48
Balance sheet total (liabilities)2 479.492 780.902 201.592 027.471 663.97
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