PRIVATHOSPITALET DANMARK ApS — Credit Rating and Financial Key Figures

CVR number: 15501707
Jægersborg Alle 14, 2920 Charlottenlund
tel: 39643362
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit11 354.3517 313.5948 139.5659 194.8558 940.27
Employee benefit expenses-11 956.90-22 399.08-46 308.25-56 933.85-53 682.97
Total depreciation- 803.03- 964.65- 610.83- 929.97-1 564.55
EBIT-1 405.58-6 050.141 220.491 331.023 692.76
Other financial income4.710.7111.31170.28216.57
Other financial expenses-43.08- 227.70- 642.78- 707.78-1 099.13
Pre-tax profit-1 443.95-6 277.13589.01793.512 810.20
Income taxes314.541 176.91- 131.0061.00- 683.20
Net earnings-1 129.41-5 100.22458.01854.512 127.00

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure467.613 699.832 920.58
Intangible rights350.71233.81
Intangible assets total467.614 050.543 154.39
Buildings575.01526.16580.12515.86451.59
Machinery and equipment3 485.013 658.693 723.614 230.243 912.19
Tangible assets total4 060.024 184.854 303.734 746.104 363.79
Investments total821.06949.891 331.931 436.21
Non-current other receivables821.06
Long term receivables total821.06
Finished products/goods1 530.281 514.032 125.393 645.765 436.86
Inventories total1 530.281 514.032 125.393 645.765 436.86
Current trade debtors2 843.6010 400.497 708.584 113.786 801.43
Current amounts owed by group member comp.381.322 508.743 005.283 333.83
Prepayments and accrued income955.83276.49198.30281.01670.48
Current other receivables198.95725.81643.2224.015 598.01
Current deferred tax assets553.771 187.001 056.001 117.00433.80
Short term receivables total4 933.4712 589.7912 114.858 541.0916 837.55
Cash and bank deposits2 007.6917.638.3013.408.43
Cash and cash equivalents2 007.6917.638.3013.408.43
Balance sheet total (assets)13 352.5219 127.3619 969.7722 328.8231 237.22

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 000.001 000.001 000.001 000.001 000.00
Other reserves3 159.422 278.06
Retained earnings5 762.934 633.52- 466.70-3 168.11-1 432.23
Profit of the financial year-1 129.41-5 100.22458.01854.512 127.00
Shareholders equity total5 633.52533.30991.311 845.833 972.83
Non-current loans from credit institutions2 205.891 770.161 764.81
Non-current leasing loans320.35207.34778.561 257.97826.87
Non-current other liabilities733.001 451.97
Non-current deferred tax liabilities703.08705.85608.72
Non-current liabilities total1 053.351 659.323 687.533 733.983 200.41
Current loans from credit institutions8 842.888 162.177 295.738 866.09
Current trade creditors2 452.252 631.702 014.733 151.656 398.01
Current owed to group member1 231.1329.31
Other non-interest bearing current liabilities2 982.275 460.175 114.026 301.638 770.58
Current liabilities total6 665.6516 934.7515 290.9216 749.0124 063.99
Balance sheet total (liabilities)13 352.5219 127.3619 969.7722 328.8231 237.22
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