COPENHAGEN DREAMING ApS — Credit Rating and Financial Key Figures

CVR number: 32353657
Strandvejen 68, Sandvig 3770 Allinge
martin@smidt.dk
tel: 20749000

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit2 005.202 654.402 504.412 699.292 637.19
Employee benefit expenses-90.59
Total depreciation-1 893.71-2 493.00-2 956.73- 597.90- 646.22
EBIT111.49161.41- 452.322 101.391 900.38
Other financial income9.429.351.8266.6834.92
Other financial expenses- 816.91- 612.21- 787.43- 797.98- 540.22
Reduction non-current investment assets- 153.75-21.17
Net income from associates (fin.)2 285.452 309.852 340.592 977.982 222.12
Pre-tax profit1 435.701 868.401 102.654 326.913 617.20
Income taxes973.0286.92-23.36- 421.61- 330.77
Net earnings2 408.721 955.311 079.293 905.303 286.42

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters21 644.7321 120.8024 790.7626 902.8126 808.45
Machinery and equipment943.522 025.781 845.681 731.351 607.88
Tangible assets total22 588.2623 146.5926 636.4428 634.1628 416.34
Holdings in group member companies2 325.454 635.305 475.8932.002 254.12
Investments total2 325.454 635.305 475.8932.002 254.12
Long term receivables total
Inventories total
Current trade debtors3 451.631 493.51279.00125.00226.14
Current amounts owed by group member comp.331.462 697.431 481.00
Prepayments and accrued income62.889.2590.18
Current other receivables2 611.966 103.893 874.561 250.70888.41
Current deferred tax assets973.021 162.761 162.76805.98576.45
Short term receivables total7 368.078 823.055 316.334 888.373 262.18
Cash and bank deposits468.03409.16197.0498.22709.72
Cash and cash equivalents468.03409.16197.0498.22709.72
Balance sheet total (assets)32 749.8137 014.1037 625.6933 652.7434 642.35

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital50.0050.0050.0050.0050.00
Other reserves2 285.454 595.305 443.892 222.12
Retained earnings- 986.37- 887.50219.236 742.418 425.59
Profit of the financial year2 408.721 955.311 079.293 905.303 286.42
Shareholders equity total3 757.815 713.126 792.4110 697.7113 984.13
Non-current loans from credit institutions16 040.4919 138.1617 419.9612 713.2112 035.69
Non-current other liabilities10.5010.50
Non-current liabilities total16 040.4919 138.1617 419.9612 723.7112 046.19
Current loans from credit institutions1 016.00696.351 222.55675.72684.28
Current trade creditors193.9232.0032.0032.0032.00
Current owed to group member11 729.7311 207.6412 041.419 227.657 552.39
Short-term deferred tax liabilities102.8323.3664.83101.23
Other non-interest bearing current liabilities11.86124.0094.01231.12242.12
Current liabilities total12 951.5112 162.8213 413.3210 231.328 612.03
Balance sheet total (liabilities)32 749.8137 014.1037 625.6933 652.7434 642.35
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