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VICURAS DK A/S — Credit Rating and Financial Key Figures

CVR number: 35807756
Holmbladsgade 133, 2300 København S
kontakt@vicuras.dk
tel: 70602400
www.vicuras.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit9 572.5616 008.5720 755.5326 067.6931 600.02
Employee benefit expenses-10 035.86-14 302.82-17 177.90-20 999.57-22 682.81
Other operating expenses- 460.61-65.32
Total depreciation- 889.50-1 144.70-1 416.93-1 393.25-1 125.61
EBIT-1 352.80561.061 700.093 674.877 726.28
Other financial income22.8411.703.3261.2994.26
Other financial expenses- 120.74- 418.81- 604.19- 854.69- 697.86
Pre-tax profit-1 450.70153.951 099.222 881.477 122.67
Income taxes352.56-52.65- 258.98- 685.88-1 624.71
Net earnings-1 098.14101.30840.252 195.595 497.97

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure1 880.903 496.674 116.234 095.374 804.10
Intangible rights331.77189.5847.40
Intangible assets total2 212.673 686.254 163.634 095.374 804.10
Buildings110.3159.13159.1096.45352.15
Machinery and equipment1 433.361 191.93845.98918.951 023.94
Tangible assets total1 543.671 251.061 005.081 015.401 376.10
Investments total10.9637.2338.02170.78
Long term receivables total
Finished products/goods389.13433.91611.42449.48661.46
Inventories total389.13433.91611.42449.48661.46
Current trade debtors3 461.374 205.794 572.208 496.614 616.78
Current amounts owed by group member comp.392.61369.94426.042 574.014 421.33
Prepayments and accrued income94.01242.43129.25353.48170.22
Current other receivables414.90971.60742.02960.11417.27
Current deferred tax assets60.027.37
Short term receivables total4 422.915 797.145 869.5112 384.209 625.60
Cash and bank deposits67.28539.34736.254 692.763 993.13
Cash and cash equivalents67.28539.34736.254 692.763 993.13
Balance sheet total (assets)8 635.6711 718.6612 423.1122 675.2220 631.17

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital1 151.001 151.002 401.002 401.002 401.00
Share premium account476.03476.03476.03476.03476.03
Shares repurchased4 350.00
Other reserves1 467.102 727.403 194.391 844.39
Retained earnings- 754.89-3 113.33- 284.63-2 638.77-4 793.18
Profit of the financial year-1 098.14101.30840.252 195.595 497.97
Shareholders equity total1 241.101 342.403 432.655 628.249 776.21
Provisions251.60811.31746.16
Capital loans1 343.751 402.971 772.311 863.741 772.06
Non-current loans from credit institutions1 728.101 322.862 061.291 545.09
Non-current liabilities total1 343.753 131.073 095.173 925.033 317.15
Current loans from credit institutions2 982.033 107.562 806.504 623.272 049.72
Current trade creditors65.67435.67272.69176.99194.22
Current owed to group member834.6624.8020.19198.86
Short-term deferred tax liabilities126.171 816.03
Other non-interest bearing current liabilities2 713.251 820.141 744.061 690.74913.58
Accruals and deferred income289.871 047.15795.655 673.281 619.24
Current liabilities total6 050.827 245.195 643.6912 310.636 791.66
Balance sheet total (liabilities)8 635.6711 718.6612 423.1122 675.2220 631.17
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