FASTPASSCORP A/S — Credit Rating and Financial Key Figures

CVR number: 25536606
Frederiksborggade 15, 1360 København K
info@fastpasscorp.com
tel: 48100420
www.fastpasscorp.com

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit6 623.115 896.218 721.196 103.356 365.38
Employee benefit expenses-4 476.23-5 807.69-5 199.09-5 012.03-4 686.37
Total depreciation-2 107.97-2 488.03-5 456.05-2 909.78-2 873.26
EBIT38.92-2 399.51-1 933.95-1 818.46-1 194.25
Other financial income8.3712.347.644.10
Other financial expenses- 209.70- 319.71- 434.25-1 247.97- 971.55
Pre-tax profit- 170.78-2 710.85-2 355.86-3 058.80-2 161.70
Income taxes-2 084.34-1 167.14- 489.49
Net earnings-2 255.12-3 877.99-2 845.34-3 058.80-2 161.70

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure7 742.567 971.817 773.837 723.347 594.79
Intangible rights354.78263.5183.98
Goodwill5 828.522 720.922 101.961 483.01
Intangible assets total7 742.5613 800.3310 849.5310 088.829 161.77
Machinery and equipment86.43188.3544.964.148.10
Tangible assets total86.43188.3544.964.148.10
Investments total0.00
Non-current other receivables119.02120.80128.6433.3335.06
Long term receivables total119.02120.80128.6433.3335.06
Inventories total
Current trade debtors2 623.214 297.692 325.191 252.962 079.36
Prepayments and accrued income158.0074.65432.5265.55114.26
Current other receivables1.3514.2817.8025.29190.94
Current deferred tax assets2 264.471 001.71
Short term receivables total5 047.035 388.322 775.511 343.802 384.56
Cash and bank deposits569.93654.9463.02148.94148.94
Cash and cash equivalents569.93654.9463.02148.94148.94
Balance sheet total (assets)13 564.9820 152.7513 861.6611 619.0311 738.44

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital4 239.594 357.844 357.844 357.844 357.84
Other reserves5 673.516 047.036 450.446 240.705 724.66
Retained earnings23.70-1 097.92-5 191.61-10 369.51-13 188.00
Profit of the financial year-2 255.12-3 877.99-2 845.34-3 058.80-2 161.70
Shareholders equity total7 681.685 428.962 771.32-2 829.78-5 267.20
Provisions2 956.800.00-0.00
Non-current loans from credit institutions401.62216.60142.9359.95
Non-current owed to group member5 799.706 391.00
Non-current accruals and deferred income2 318.063 291.232 765.495 052.905 097.54
Non-current other liabilities-1 967.93-2 937.17-2 403.99-4 678.74-4 704.82
Non-current liabilities total350.12755.68578.106 316.786 843.67
Current loans from credit institutions1 135.222 369.953 004.55944.182 983.68
Current trade creditors387.48376.25478.251 117.441 434.08
Other non-interest bearing current liabilities4 010.488 265.127 029.436 070.405 744.20
Current liabilities total5 533.1811 011.3110 512.238 132.0310 161.96
Balance sheet total (liabilities)13 564.9820 152.7513 861.6611 619.0311 738.44
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