Speciallæge Peder Chr. Frandsen ApS — Credit Rating and Financial Key Figures

CVR number: 37070998
Strøybergsvej 56, 9000 Aalborg
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit5 441.005 488.595 185.8915 884.301 491.46
Employee benefit expenses-1 632.00-1 951.24-2 015.71-2 392.53-2 043.82
Total depreciation-1 181.00- 611.67-93.22- 375.63- 187.81
EBIT2 628.002 925.673 076.9613 116.14- 740.17
Other financial income4 627.006 827.53980.235 520.625 652.51
Other financial expenses- 106.00-38.17-5 138.86- 157.23- 147.53
Income from other inv. held as non-curr. assets524.00333.831 645.90960.28771.41
Net income from associates (fin.)-13.00807.71- 189.35-1 160.07-3 217.94
Pre-tax profit7 660.0010 856.57374.8818 279.742 318.28
Income taxes-1 651.00-2 335.0680.86-4 028.38-1 142.15
Net earnings6 009.008 521.51455.7414 251.371 176.13

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill1 143.00857.14
Intangible assets total1 143.00857.14
Land and waters2 096.002 075.58
Machinery and equipment646.001 287.621 294.69478.65476.44
Tangible assets total2 742.003 363.211 294.69478.65476.44
Holdings in group member companies8 187.008 381.208 858.6010 199.6110 179.23
Participating interests298.001 010.244 126.611 969.27305.76
Investments total8 485.009 391.4412 985.2012 168.8810 484.99
Non-curr. owed by particip. interest comp.2 008.982 615.43
Long term receivables total2 008.982 615.43
Inventories total
Current trade debtors250.00162.66
Current other receivables57.00470.45328.5911 869.88948.86
Current deferred tax assets233.49775.75406.86
Short term receivables total307.00866.601 104.3411 869.881 355.72
Other current investments47 064.0050 222.7544 612.3355 174.1765 787.85
Cash and bank deposits265.00603.481 921.01272.701 033.66
Cash and cash equivalents47 329.0050 826.2346 533.3455 446.8766 821.51
Balance sheet total (assets)60 006.0065 304.6263 926.5782 579.7179 138.66

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital50.0050.0050.0050.0050.00
Shares repurchased283.00286.00294.50500.00350.00
Other reserves223.00325.274 044.86562.80
Retained earnings46 756.0052 376.0856 760.9060 198.7074 662.86
Profit of the financial year6 009.008 521.51455.7414 251.371 176.13
Shareholders equity total53 321.0061 558.8661 606.0075 562.8676 238.99
Provisions2 144.002 044.931 935.452 485.552 637.28
Non-current liabilities total
Current loans from credit institutions2 979.00884.1782.733 572.38104.04
Short-term deferred tax liabilities79.00429.54
Other non-interest bearing current liabilities1 483.00816.66302.40529.38158.35
Current liabilities total4 541.001 700.83385.134 531.29262.39
Balance sheet total (liabilities)60 006.0065 304.6263 926.5782 579.7179 138.66
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