EYE-GO A/S — Credit Rating and Financial Key Figures

CVR number: 36957670
Agern Alle 5 A, 2970 Hørsholm
hna@eye-go.com
tel: 93989339
www.eye-go.com
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit-3 187.78-4 487.99- 729.16-1 853.68-1 090.13
Employee benefit expenses-1 233.19-2 464.58- 991.51- 926.58- 968.23
Total depreciation- 285.06- 470.18- 470.18
EBIT-4 420.98-6 952.57-2 005.74-3 250.43-2 528.54
Other financial income18.7731.2831.9331.1193.50
Other financial expenses-67.22- 279.88- 310.88- 127.83- 312.28
Pre-tax profit-4 469.43-7 201.17-2 284.69-3 347.15-2 747.32
Income taxes977.321 546.871 640.042 259.14711.02
Net earnings-3 492.12-5 654.30- 644.65-1 088.01-2 036.30

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure7 454.7317 723.5423 978.88
Intangible assets total7 454.7317 723.5423 978.88
Machinery and equipment7.627.622 073.451 603.271 133.09
Tangible assets total7.627.622 073.451 603.271 133.09
Holdings in group member companies50.5550.5550.5550.55
Investments total50.5550.5550.5550.55
Long term receivables total
Inventories total
Current amounts owed by group member comp.694.35725.69786.60819.08
Current other receivables856.64353.30387.03951.77648.69
Current deferred tax assets977.321 546.871 640.042 259.14711.02
Short term receivables total2 528.312 625.862 027.073 997.502 178.79
Cash and bank deposits6 429.72228.239 048.173 704.244 345.76
Cash and cash equivalents6 429.72228.239 048.173 704.244 345.76
Balance sheet total (assets)9 016.182 912.2520 653.9727 079.1131 636.52

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital2 216.042 216.042 381.247 314.5014 314.50
Other reserves5 814.6913 824.3618 703.53
Retained earnings4 081.32589.21-2 844.92- 627.12-6 594.29
Profit of the financial year-3 492.12-5 654.30- 644.65-1 088.01-2 036.30
Shareholders equity total2 805.25-2 849.044 706.3619 423.7424 387.44
Non-current other liabilities5 104.905 264.82
Non-current deferred tax liabilities5 546.396 021.566 558.79
Non-current liabilities total5 104.905 264.825 546.396 021.566 558.79
Current trade creditors764.17110.00262.691 303.5514.53
Current owed to participating1 240.00
Current owed to group member115.97136.533 027.2496.32
Other non-interest bearing current liabilities225.89249.955 871.29233.93675.76
Current liabilities total1 106.03496.4810 401.221 633.81690.29
Balance sheet total (liabilities)9 016.182 912.2520 653.9727 079.1131 636.52
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