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PWR. 8 STUDIO CPH ApS — Credit Rating and Financial Key Figures

CVR number: 35654585
Dampfærgevej 10, 2100 København Ø
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit2 590.303 524.226 392.417 951.9610 170.47
Employee benefit expenses-1 834.08-2 667.59-4 168.00-5 493.18-6 240.51
Total depreciation-33.12-26.37- 641.11- 662.09- 662.09
EBIT723.10830.261 583.311 796.693 267.87
Other financial income0.0211.6322.1124.01
Other financial expenses-8.67-6.03-44.60-45.54-33.30
Net income from associates (fin.)- 320.66736.461 913.611 818.472 255.83
Pre-tax profit393.771 560.713 463.953 591.745 514.41
Income taxes- 163.41- 179.51- 341.57- 397.13- 719.18
Net earnings230.351 381.203 122.383 194.614 795.23

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings2 669.362 007.261 345.18
Machinery and equipment26.372 995.67
Tangible assets total26.372 995.672 669.362 007.261 345.18
Holdings in group member companies99.2850.0050.0050.0050.00
Investments total540.27577.65611.22619.64664.75
Long term receivables total
Inventories total
Current trade debtors131.64119.7335.40205.221 349.92
Current amounts owed by group member comp.677.491 094.652 309.423 004.793 216.11
Prepayments and accrued income22.9321.5622.70160.44352.00
Current other receivables69.0911.9410.2611.98
Short term receivables total901.151 235.932 379.463 380.704 930.00
Cash and bank deposits696.36347.531 179.40351.281 813.13
Cash and cash equivalents696.36347.531 179.40351.281 813.13
Balance sheet total (assets)2 164.145 156.796 839.436 358.898 753.06

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital160.00160.00160.00160.00160.00
Shares repurchased230.351 751.363 122.383 194.614 795.23
Other reserves49.28
Retained earnings430.52-1 041.20-2 782.38-2 854.61-4 455.23
Profit of the financial year230.351 381.203 122.383 194.614 795.23
Shareholders equity total1 100.512 251.363 622.383 694.615 295.23
Provisions124.67131.07136.43136.43
Non-current liabilities total
Advances received642.83341.82138.00
Current trade creditors72.1578.08175.1186.54
Current owed to group member121.781 476.142 531.191 899.852 472.18
Other non-interest bearing current liabilities299.03890.65338.72316.19558.18
Accruals and deferred income136.70204.50
Current liabilities total1 063.632 780.763 085.992 527.853 321.40
Balance sheet total (liabilities)2 164.145 156.796 839.436 358.898 753.06
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