CAE CENTRE COPENHAGEN A/S — Credit Rating and Financial Key Figures

CVR number: 14338276
Kystvejen 40, 2770 Kastrup
Trtocopenhagenservic@cae.com
tel: 72300726
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit22 459.4828 256.8429 835.1336 845.7837 262.90
Employee benefit expenses-14 760.71-13 785.41-17 057.01-18 605.57-18 807.30
Other operating expenses-20 000.00-22 575.73-1 207.45
Total depreciation-9 686.29-30 419.27-13 112.23-14 474.69-16 299.24
EBIT-21 987.52-38 523.57-1 541.563 765.522 156.36
Other financial income18.56172.95151.32523.29713.90
Other financial expenses- 420.59- 348.48- 601.46- 724.17-1 533.18
Pre-tax profit-22 389.54-38 699.10-1 991.703 564.641 337.07
Income taxes4 885.785 742.56-4 516.282 372.18- 328.35
Net earnings-17 503.76-32 956.54-6 507.985 936.821 008.73

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings5 178.862 856.842 569.342 280.152 285.47
Machinery and equipment61 558.17115 114.66120 440.09118 229.53165 453.72
Advance payments and construction in progress39 438.12235.3521.70254.261 214.34
Tangible assets total106 175.14118 206.85123 031.12120 763.95168 953.53
Investments total
Long term receivables total
Inventories total
Current trade debtors5 885.047 231.4812 835.3020 339.1414 201.90
Current amounts owed by group member comp.1 243.951 834.43951.162 107.31
Prepayments and accrued income1 105.29626.00465.091 483.261 712.21
Current other receivables12 806.442 681.144 488.947 837.63
Current deferred tax assets16 773.0222 800.0018 601.0420 700.0020 365.70
Short term receivables total37 813.7435 173.0432 852.5947 011.3446 224.75
Cash and bank deposits16 208.4334 347.2324 604.0312 617.2615 249.55
Cash and cash equivalents16 208.4334 347.2324 604.0312 617.2615 249.55
Balance sheet total (assets)160 197.31187 727.13180 487.74180 392.54230 427.83

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital4 505.004 506.004 506.004 506.004 506.00
Retained earnings100 437.22120 464.0687 507.5280 999.5486 936.36
Profit of the financial year-17 503.76-32 956.54-6 507.985 936.821 008.73
Shareholders equity total87 438.4692 013.5285 505.5491 442.3692 451.08
Non-current owed to group member22 907.8761 014.24
Non-current liabilities total22 907.8761 014.24
Current trade creditors2 845.055 265.483 923.826 248.245 275.70
Current owed to group member61 279.2384 147.2983 977.6449 309.5064 180.17
Short-term deferred tax liabilities276.273.05
Other non-interest bearing current liabilities6 126.104 445.215 111.976 403.425 820.63
Accruals and deferred income2 508.471 855.631 692.504 078.121 686.01
Current liabilities total72 758.8595 713.6194 982.2066 042.3276 962.50
Balance sheet total (liabilities)160 197.31187 727.13180 487.74180 392.54230 427.83
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