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Injecto Group A/S — Credit Rating and Financial Key Figures

CVR number: 35806555
Strandvejen 60, 2900 Hellerup
info@injecto.eu
tel: 27851000
www.injecto.eu
Free credit report
See consolidated company

Income statement (kDKK)

2019
2021
2022
2023
Fiscal period length12121212
Net sales100.00224.26136.19100.00
Other operating income130.441 530.001 665.001 642.50
External services-2 615.16-3 233.02-3 162.32-3 285.20
Gross profit-2 384.72-1 478.76-3 026.13-3 185.20
Other operating expenses-1 733.51-1 563.11-3 726.86-2 865.71
Total depreciation- 297.66-2 609.60-2 760.00-2 881.71
EBIT-4 415.89-5 651.46-7 847.99-7 290.12
Other financial income221.91198.38327.81634.50
Other financial expenses- 205.11-4 671.55-6 423.10- 481.18
Pre-tax profit-4 399.09-10 124.63-13 943.28-7 136.80
Income taxes-1 290.76
Net earnings-4 399.09-10 124.63-15 234.03-7 136.80

Assets (kDKK)

2019
2020
2021
2022
2023
Intangible rights4 996.1639 509.67
Intangible assets total4 996.1639 509.67
Machinery and equipment14.0273.42164.99
Other tangible assets185.1354.45262.14
Tangible assets total14.02185.13127.87427.13
Holdings in group member companies2 000.0015 006.04
Other non-current investments38 271.8636 623.24
Investments total2 000.0038 271.8651 629.28
Non-current other receivables21.9121.9121.9128.97
Deferred tax assets1 986.121 290.76
Long term receivables total2 008.021 312.6621.9128.97
Inventories total
Current trade debtors450.00710.07847.6510.57
Current owed by particip. interest comp.662.272 000.00661.99
Prepayments and accrued income11.12
Current other receivables82.3779.9411.34557.98
Short term receivables total1 205.762 790.01859.001 230.54
Cash and bank deposits550.221 209.072 066.53802.003 817.41
Cash and cash equivalents550.221 209.072 066.53802.003 817.41
Balance sheet total (assets)10 774.191 209.0745 864.0040 082.6357 133.32

Equity and liabilities (kDKK)

2019
2021
2022
2023
Share capital19 360.3958 748.3984 864.20107 724.22
Share premium account244.89244.89
Other reserves1 488.235 618.414 778.996 263.45
Retained earnings-13 253.36-28 928.20-36 195.83-51 629.99
Profit of the financial year-4 399.09-10 124.63-15 234.03-7 136.80
Shareholders equity total3 196.1825 313.9838 458.2255 465.78
Non-current other liabilities19 403.68150.00130.32
Non-current liabilities total19 403.68150.00130.32
Current trade creditors391.28535.89792.68488.23
Other non-interest bearing current liabilities7 186.74610.45681.731 048.99
Current liabilities total7 578.021 146.341 474.411 537.22
Balance sheet total (liabilities)10 774.1945 864.0040 082.6357 133.32
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