Podimo ApS — Credit Rating and Financial Key Figures

CVR number: 40447024
Gasværksvej 16, 1656 København V

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales45 841.00
Manufacturing for enterprise's own use-29 340.00
Purchases during the financial year-12 135.00
External services-75 377.00
Gross profit-19 648.00-12 331.00-60 443.004 647.00111 822.00
Employee benefit expenses-22 259.00-70 068.00- 114 645.00- 135 695.00- 214 419.00
Total depreciation-4 019.00-27 978.00- 153 336.00- 226 565.00- 364 317.00
EBIT-45 926.00- 110 377.00- 328 424.00- 352 537.00- 473 294.00
Other financial income12.00142.0013 364.009 108.007 915.00
Other financial expenses- 841.00-1 225.00-1 402.00-3 992.00-17 114.00
Pre-tax profit-39 794.00- 111 460.00- 316 462.00- 352 497.00- 476 113.00
Income taxes1 849.00-1 165.00-40.002 819.00
Net earnings-37 945.00- 111 460.00- 317 627.00- 352 537.00- 473 294.00

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure18 997.0052 574.0094 220.0089 250.0068 925.00
Intangible rights19 538.0069 167.00163 921.00280 561.00232 927.00
Goodwill9 100.0050 847.0038 976.00102 053.00
Intangible assets total38 535.00130 841.00308 988.00408 787.00403 905.00
Machinery and equipment1 504.002 022.005 184.005 157.005 481.00
Tangible assets total1 504.002 022.005 184.005 157.005 481.00
Investments total1 105.001 146.001 453.00475.00474.00
Long term receivables total
Inventories total
Current trade debtors234.005 155.0013 852.0029 401.0055 740.00
Prepayments and accrued income12 742.008.005 716.0019 720.0014 387.00
Current other receivables533.003 918.006 341.007 761.00120.00
Current deferred tax assets6 888.007 286.0071.002 273.00
Short term receivables total20 397.0016 367.0025 909.0056 953.0072 520.00
Cash and bank deposits59 342.00471 823.00447 729.00345 968.00127 160.00
Cash and cash equivalents59 342.00471 823.00447 729.00345 968.00127 160.00
Balance sheet total (assets)120 883.00622 199.00789 263.00817 340.00609 540.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital152.00250.00295.00327.00330.00
Other reserves7.0018.00103.00115.00
Retained earnings135 926.00698 873.001 040 044.001 038 391.00721 799.00
Profit of the financial year-37 945.00- 111 460.00- 317 627.00- 352 537.00- 473 294.00
Shareholders equity total98 133.00587 670.00722 730.00686 284.00248 950.00
Provisions35.001 055.001 190.0040 566.00
Non-current loans from credit institutions8 227.009 279.005 787.003 000.00115 008.00
Non-current other liabilities1 499.005 214.00
Non-current liabilities total9 726.0014 493.005 787.003 000.00115 008.00
Current loans from credit institutions3 629.003 331.0038 113.00
Current trade creditors8 473.0010 768.0035 888.0058 022.0081 543.00
Short-term deferred tax liabilities439.00163.00
Other non-interest bearing current liabilities3 984.004 479.0011 809.0037 665.0039 303.00
Accruals and deferred income532.004 350.008 202.0027 849.0046 057.00
Current liabilities total12 989.0020 036.0059 691.00126 867.00205 016.00
Balance sheet total (liabilities)120 883.00622 199.00789 263.00817 341.00609 540.00
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