BOG & IDÉ NØRREBRO BYCENTER ApS — Credit Rating and Financial Key Figures

CVR number: 34801142
Lygten 2, 2400 København NV
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit2 681.303 671.374 006.384 216.854 013.01
Employee benefit expenses-1 894.02-2 511.52-2 262.06-2 414.88-2 501.84
Other operating expenses-12.97- 102.51
Total depreciation- 105.80- 159.42- 127.01- 127.02- 127.03
EBIT681.481 000.431 604.331 674.941 281.63
Other financial income20.3324.1355.27106.4690.09
Other financial expenses-65.73- 114.96-57.97-51.74-45.27
Pre-tax profit636.08909.601 601.631 729.661 326.45
Income taxes- 139.92- 200.11- 352.36- 387.09- 298.36
Net earnings496.16709.491 249.271 342.581 028.10

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings965.15841.17737.46633.74530.03
Machinery and equipment102.9479.6356.3333.029.71
Tangible assets total1 068.09920.80793.79666.77539.74
Participating interests103.63178.22162.37167.4264.90
Other non-current investments-0.00-0.00
Investments total525.77603.80622.94644.00546.74
Non-current loans receivable0.000.00
Long term receivables total0.000.00
Finished products/goods2 115.501 799.331 894.992 230.582 058.79
Inventories total2 115.501 799.331 894.992 230.582 058.79
Current trade debtors130.88127.25147.6933.8774.41
Current amounts owed by group member comp.450.05
Prepayments and accrued income175.62199.73
Current other receivables773.650.00238.72355.69269.90
Short term receivables total1 080.14326.98386.41389.56794.37
Cash and bank deposits2 152.722 829.623 777.864 136.863 697.54
Cash and cash equivalents2 152.722 829.623 777.864 136.863 697.54
Balance sheet total (assets)6 942.226 480.547 476.008 067.777 637.18

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital80.0080.0080.0080.0080.00
Shares repurchased500.001 500.001 000.00
Retained earnings139.85636.011 345.501 094.771 437.35
Profit of the financial year496.16709.491 249.271 342.581 028.10
Shareholders equity total1 216.011 425.502 674.774 017.353 545.44
Provisions32.2841.6937.0235.9633.05
Non-current other liabilities101.38
Non-current deferred tax liabilities112.35190.70357.03418.03247.19
Non-current liabilities total213.74190.70357.03418.03247.19
Advances received937.11897.49893.24813.55
Current trade creditors163.98288.04266.32252.49229.98
Current owed to participating811.051 067.72793.80
Current owed to group member2 782.862 410.811 907.04764.151 275.94
Short-term deferred tax liabilities79.02112.35190.70357.03418.03
Other non-interest bearing current liabilities1 509.141 074.33334.57261.82280.18
Accruals and deferred income945.19
Current liabilities total5 480.194 822.644 407.173 596.433 811.49
Balance sheet total (liabilities)6 942.226 480.547 476.008 067.777 637.18
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