NEURONS INC. ApS — Credit Rating and Financial Key Figures

CVR number: 35205667
Høje Taastrup Boulevard 33, Høje Taastrup 2630 Taastrup
mike@NeuronsInc.com
tel: 26213832
www.neuronsinc.com
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit3.3710 704.389 797.2118 608.7731 948.07
Employee benefit expenses-5.35-14 004.07-34 520.44-44 706.36-46 678.90
Total depreciation-0.07- 193.04-2 298.49-4 195.54-6 695.29
EBIT-2.04-3 492.72-27 021.71-30 293.13-21 426.13
Other financial income0.0157.88117.2070.95166.52
Other financial expenses-0.09- 421.21- 849.15-2 687.44-3 359.93
Net income from associates (fin.)161.72
Pre-tax profit-2.12-3 694.33-27 753.67-32 909.63-24 619.53
Income taxes0.4666.312 044.762 332.331 665.41
Net earnings-1.66-3 628.02-25 708.90-30 577.29-22 954.13

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure4 131.3014 280.5821 670.5225 113.21
Intangible rights1 489.77744.88
Intangible assets total4 131.3015 770.3522 415.4125 113.21
Buildings69.49141.16117.9294.69
Machinery and equipment0.19970.15677.87462.03261.77
Tangible assets total0.191 039.64819.03579.95356.46
Holdings in group member companies161.72161.72161.72161.72
Investments total495.51774.87815.25825.38
Long term receivables total
Inventories total
Current trade debtors0.843 431.775 538.177 110.279 183.03
Current owed by particip. interest comp.19.76
Prepayments and accrued income0.06405.83700.45677.12614.64
Current other receivables0.796 014.60738.28368.45269.82
Current deferred tax assets0.48546.542 053.632 332.331 768.65
Short term receivables total2.1710 398.749 030.5210 488.1711 855.90
Cash and bank deposits14.90658.4812 698.19738.08526.53
Cash and cash equivalents14.90658.4812 698.19738.08526.53
Balance sheet total (assets)17.2516 723.6639 092.9635 036.8638 677.49

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital0.12120.00166.35166.35182.31
Other reserves3 222.4111 409.9216 903.0119 533.09
Retained earnings9.804 913.6731 919.11717.13-17 606.49
Profit of the financial year-1.66-3 628.02-25 708.90-30 577.29-22 954.13
Shareholders equity total8.264 628.0717 786.48-12 790.81-20 845.22
Non-current owed to group member7 256.367 612.4714 643.8218 036.31
Non-current owed to participating6.96
Non-current accruals and deferred income223.76511.58675.28
Non-current liabilities total6.967 256.367 836.2315 155.4018 711.60
Current loans from credit institutions0.08249.5511 485.6113 952.06
Current trade creditors0.261 603.731 606.771 306.811 355.96
Current owed to participating39.8937.1737.1737.17
Current owed to group member0.1475.6956.0014.1719.25
Other non-interest bearing current liabilities1.551 175.891 761.144 351.973 736.33
Accruals and deferred income1 694.4910 009.1715 476.5321 710.33
Current liabilities total2.034 839.2313 470.2532 672.2740 811.12
Balance sheet total (liabilities)17.2516 723.6639 092.9635 036.8638 677.49
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