PETER OG EMMA THOMSENS LEGAT — Credit Rating and Financial Key Figures

CVR number: 20632712
Tuborgvej 5, 2900 Hellerup
anders.hvass@advofirma.dk
tel: 33143949
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Other operating income411.88
External services-1 129.00-1 241.00- 897.34- 515.85-1 084.52
Gross profit-1 129.00-1 241.00- 485.46- 515.85-1 084.52
Employee benefit expenses-1 111.00- 263.00- 703.77- 638.99- 936.04
EBIT-2 240.00-1 504.00-1 189.23-1 154.84-2 020.56
Other financial income3 806.008 620.001 804.709 643.3014 438.58
Other financial expenses-2.00-7.00-13 524.13
Net income from associates (fin.)248 899.003 540.00-1 817.60-7 300.4114 786.83
Pre-tax profit250 463.0010 649.00-14 726.271 188.0527 204.85
Income taxes- 409.00- 459.002 551.87-59.23- 121.53
Net earnings250 054.0010 190.00-12 174.401 128.8327 083.32

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Tangible assets total
Holdings in group member companies417 057.00420 096.00412 778.70401 478.29411 265.12
Investments total417 057.00420 096.00412 778.70401 478.29411 265.12
Non-current loans receivable75 139.0082 999.0070 977.5475 779.1982 050.34
Long term receivables total75 139.0082 999.0070 977.5475 779.1982 050.34
Inventories total
Current amounts owed by group member comp.1 908.00508.00499.624.625 004.62
Prepayments and accrued income8.0010.0069.9911.92117.12
Current other receivables392.00417.0037.3615.6010.10
Current deferred tax assets188.1489.63115.72
Short term receivables total2 308.00935.00795.11121.785 247.56
Cash and bank deposits350.00757.00238.262 229.201 065.56
Cash and cash equivalents350.00757.00238.262 229.201 065.56
Balance sheet total (assets)494 854.00504 787.00484 789.60479 608.46499 628.58

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital56 198.0056 198.0056 197.7656 197.7656 197.76
Other reserves416 584.00419 623.00412 179.83401 005.24410 792.07
Other restricted equity4 392.005 448.006 498.258 265.2517 077.00
Retained earnings- 234 710.0010 304.0021 937.0712 937.27-11 720.74
Profit of the financial year250 054.0010 190.00-12 174.401 128.8327 083.32
Shareholders equity total492 518.00501 763.00484 638.52479 534.34499 429.42
Provisions2 118.002 580.00-0.00
Non-current liabilities total
Current loans from credit institutions1.00
Current trade creditors18.13
Other non-interest bearing current liabilities217.00444.00151.0955.99199.17
Current liabilities total218.00444.00151.0974.12199.17
Balance sheet total (liabilities)494 854.00504 787.00484 789.60479 608.46499 628.58
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