Drive Studios ApS — Credit Rating and Financial Key Figures

CVR number: 36966955
Mosedalvej 14, 2500 Valby
Taus@drivestudios.dk
tel: 60201010
www.drivestudios.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit41 829.0025 150.0041 026.0052 894.0026 993.00
Employee benefit expenses-42 227.00-40 343.00-47 706.00-51 440.00-30 207.00
Total depreciation-2 436.00-2 204.00- 946.00- 366.00- 281.00
EBIT-2 834.00-17 397.00-7 626.001 088.00-3 495.00
Other financial income5.0017.0011.0022.0015.00
Other financial expenses- 874.00- 148.00- 606.00- 431.00- 458.00
Reduction non-current investment assets- 688.00
Net income from associates (fin.)358.002 321.0076.002 704.00- 467.00
Pre-tax profit-3 377.00-15 207.00-8 145.003 383.00-4 405.00
Income taxes600.003 261.001 628.00467.001 200.00
Net earnings-2 777.00-11 946.00-6 517.003 850.00-3 205.00

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure1 068.00
Intangible assets total1 068.00
Buildings1 346.00741.00497.00231.00
Machinery and equipment1 501.00730.00162.0063.0013.00
Tangible assets total2 847.001 471.00659.00294.0013.00
Holdings in group member companies17.00993.002 174.00
Participating interests2 085.004 707.004 783.006 511.00
Investments total3 296.005 949.005 972.008 737.002 174.00
Long term receivables total
Inventories total
Current trade debtors2 834.008 036.006 482.007 184.007 708.00
Current amounts owed by group member comp.2 491.00256.00982.00753.00
Current owed by particip. interest comp.281.0093.00
Prepayments and accrued income104.00102.00655.001 037.0019.00
Current other receivables2 159.003 938.004 027.001 189.007 516.00
Current deferred tax assets60.003 063.001 928.001 305.002 245.00
Short term receivables total5 438.0017 723.0013 348.0011 697.0018 241.00
Cash and bank deposits7 375.002 020.004 434.0049.00
Cash and cash equivalents7 375.002 020.004 434.0049.00
Balance sheet total (assets)20 024.0027 163.0024 413.0020 777.0020 428.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital67.0074.0074.0074.0074.00
Share premium account10 912.00
Other reserves1 068.002 223.002 299.005 003.002 157.00
Retained earnings2 087.00-1 845.00-2 955.00-12 176.00-5 480.00
Profit of the financial year-2 777.00-11 946.00-6 517.003 850.00-3 205.00
Shareholders equity total445.00- 582.00-7 099.00-3 249.00-6 454.00
Non-current other liabilities2 897.005 611.002 823.00
Non-current liabilities total2 897.005 611.002 823.00
Current loans from credit institutions9.003 452.006 308.007 184.00
Advances received7 354.006 717.00
Current trade creditors910.004 617.003 670.006 238.006 450.00
Current owed to group member57.001 726.00465.00
Short-term deferred tax liabilities33.00
Other non-interest bearing current liabilities8 376.007 348.0010 392.006 099.003 564.00
Accruals and deferred income14 570.003 655.009 219.00
Current liabilities total16 682.0022 134.0028 689.0024 026.0026 882.00
Balance sheet total (liabilities)20 024.0027 163.0024 413.0020 777.0020 428.00
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