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City Tandlægerne ApS — Credit Rating and Financial Key Figures

CVR number: 38990926
Nygade 7, 1164 København K
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit3 701.593 399.893 032.052 813.103 864.58
Employee benefit expenses-2 343.60-2 689.48-2 431.46-2 533.02-3 370.09
Other operating expenses-70.99-17.96
Total depreciation- 259.62- 262.45- 262.45- 262.45- 359.54
EBIT1 027.39430.00338.1417.64134.95
Other financial income45.5842.8040.5231.175.74
Other financial expenses- 121.20-79.47-98.28-63.77-70.77
Net income from associates (fin.)215.80
Pre-tax profit951.77393.34280.39200.8369.92
Income taxes- 219.28-29.32-62.04-6.59-54.51
Net earnings732.49364.02218.35194.2415.41

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill1 479.551 390.801 302.041 213.291 124.54
Intangible assets total1 479.551 390.801 302.041 213.291 124.54
Land and waters1 710.001 665.001 620.001 575.001 530.00
Machinery and equipment948.58819.88691.19562.491 981.85
Tangible assets total2 658.582 484.882 311.192 137.493 511.85
Holdings in group member companies191.1020.00
Investments total67.5267.5267.52263.3392.62
Long term receivables total
Raw materials and consumables14.9714.9714.9714.9714.97
Inventories total14.9714.9714.9714.9714.97
Current trade debtors129.77371.38142.07209.30305.75
Current amounts owed by group member comp.1 978.611 779.241 573.631 063.12122.82
Prepayments and accrued income31.5629.775.97
Current other receivables1 928.181 194.531 065.161 692.631 206.09
Current deferred tax assets5.55
Short term receivables total4 042.113 345.162 812.432 994.821 640.62
Cash and bank deposits91.6975.3036.36103.8430.91
Cash and cash equivalents91.6975.3036.36103.8430.91
Balance sheet total (assets)8 354.427 378.636 544.516 727.746 415.52

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital51.0051.0051.0051.0051.00
Shares repurchased56.50600.00700.00700.00600.00
Retained earnings3 093.033 225.522 889.542 364.571 958.81
Profit of the financial year732.49364.02218.35194.2415.41
Shareholders equity total3 933.024 240.543 858.893 309.812 625.22
Provisions189.29218.62258.45210.61403.75
Non-current loans from credit institutions355.78134.6150.35
Non-current liabilities total355.78134.6150.35
Current loans from credit institutions98.86292.93370.78195.98490.71
Advances received2 824.271 715.481 327.682 173.751 735.57
Current trade creditors240.75204.54334.45277.09308.89
Current owed to participating350.0619.17
Short-term deferred tax liabilities33.1030.1014.2359.6657.69
Other non-interest bearing current liabilities329.28522.65329.68500.85793.68
Current liabilities total3 876.332 784.872 376.823 207.323 386.55
Balance sheet total (liabilities)8 354.427 378.636 544.516 727.746 415.52
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