Center for Mentalisering ApS — Credit Rating and Financial Key Figures

CVR number: 37796522
Rosenkrantzgade 31, 8000 Aarhus C
janne@centerformentalisering.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit6 235.137 102.167 269.817 826.578 660.56
Employee benefit expenses-5 606.75-5 844.57-6 865.64-7 489.12-7 253.52
Total depreciation- 360.93- 375.50- 364.75-23.35-15.88
EBIT267.45882.0939.42314.101 391.15
Other financial income13.2349.4861.79
Other financial expenses-38.52-22.13- 213.38-57.75-36.65
Pre-tax profit228.94873.20- 173.97305.831 416.29
Income taxes-55.67- 324.4037.07-73.29- 312.41
Net earnings173.27548.80- 136.89232.541 103.89

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill644.00322.00
Intangible assets total644.00322.00
Machinery and equipment79.4081.9839.2315.88
Tangible assets total79.4081.9839.2315.88
Investments total78.0078.0078.0078.0078.00
Long term receivables total
Inventories total
Current trade debtors1 688.812 401.011 586.363 754.812 264.64
Current amounts owed by group member comp.271.84
Current other receivables104.50109.80109.80128.56199.18
Current deferred tax assets8.299.209.52
Short term receivables total1 793.312 782.661 704.453 892.572 473.34
Other current investments1 812.05616.47665.47714.93
Cash and bank deposits3 667.471 487.701 283.85521.852 178.58
Cash and cash equivalents3 667.473 299.751 900.321 187.312 893.52
Balance sheet total (assets)6 262.186 564.383 722.005 173.775 444.85

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital62.5062.5062.5062.5062.50
Shares repurchased300.001 500.00117.80122.00400.00
Retained earnings1 926.24599.501 030.50771.61604.15
Profit of the financial year173.27548.80- 136.89232.541 103.89
Shareholders equity total2 462.002 710.801 073.911 188.652 170.54
Provisions141.4066.31
Non-current other liabilities242.08433.32
Non-current liabilities total242.08433.32
Advances received977.501 585.40855.651 599.48921.54
Current trade creditors94.1626.0026.00286.17182.72
Current owed to participating24.2939.8733.9216.91
Current owed to group member29.75816.19881.08885.42
Short-term deferred tax liabilities127.05267.2937.5374.19312.73
Other non-interest bearing current liabilities2 163.951 435.39878.801 127.29971.91
Current liabilities total3 416.703 353.952 648.093 985.113 274.31
Balance sheet total (liabilities)6 262.186 564.383 722.005 173.775 444.85
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