CAFE PHENIX - CITY ApS — Credit Rating and Financial Key Figures

CVR number: 31861896
Gråbrødretorv 15, 1154 København K
info@cafephenix.dk
tel: 28111374
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit-93.815.101 788.542 727.001 939.24
Employee benefit expenses- 891.32-1 918.36-2 193.41
Total depreciation-7.19- 308.24- 308.24- 308.24
EBIT-93.81-2.09588.98500.40- 562.41
Other financial income0.16
Other financial expenses-2.56-8.71-67.50- 592.85- 229.55
Pre-tax profit-96.37-10.80521.48-92.44- 791.81
Income taxes17.673.0136.99
Net earnings-78.70-7.79558.47-92.44- 791.81

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill200.00160.00120.0080.00
Intangible assets total200.00160.00120.0080.00
Buildings456.48364.40272.33180.26
Machinery and equipment636.70701.37525.20349.03
Other tangible assets0.000.00
Tangible assets total1 093.171 065.77797.53529.29
Other non-current investments-0.00
Investments total250.06200.05233.75233.75
Long term receivables total
Raw materials and consumables88.86103.8191.74
Inventories total88.86103.8191.74
Current trade debtors88.1584.013.89
Current amounts owed by group member comp.30.00121.2457.44
Prepayments and accrued income2.0687.79
Current other receivables15.77121.893.007.19
Current deferred tax assets17.6720.6736.99
Short term receivables total33.44172.56246.37146.5198.87
Cash and bank deposits0.32116.85186.79392.301.01
Cash and cash equivalents0.32116.85186.79392.301.01
Balance sheet total (assets)33.751 832.651 947.851 793.901 034.65

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital80.0080.0080.0080.0080.00
Retained earnings- 215.64- 294.34- 302.13256.33163.89
Profit of the financial year-78.70-7.79558.47-92.44- 791.81
Shareholders equity total- 214.34- 222.13336.34243.89- 547.91
Non-current owed to group member697.38257.6819.77113.19
Non-current other liabilities288.50
Non-current liabilities total985.88257.6819.77113.19
Current loans from credit institutions720.00450.56
Current trade creditors45.05233.81427.98359.27920.91
Current owed to participating131.0088.22
Current owed to group member187.95
Other non-interest bearing current liabilities15.10115.09475.291 039.97460.24
Current liabilities total248.091 068.901 353.831 530.241 469.37
Balance sheet total (liabilities)33.751 832.651 947.851 793.901 034.65
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