CARGOKID ApS — Credit Rating and Financial Key Figures

CVR number: 36024984
Hellevadvej 24, Klokkerholm 9320 Hjallerup
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit13 673.0812 674.737 587.906 948.716 393.85
Employee benefit expenses-2 201.07-3 520.36-3 980.71-3 516.73-3 516.52
Total depreciation-32.21-32.21-32.21-7.50-0.63
EBIT11 439.809 122.163 574.983 424.492 876.70
Other financial income2.9641.710.90
Other financial expenses-85.23- 155.15- 395.71- 348.09- 316.76
Pre-tax profit11 354.578 967.003 182.243 118.112 560.84
Income taxes-2 514.16-1 989.61- 709.80- 687.68- 565.59
Net earnings8 840.416 977.392 472.442 430.431 995.26

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure86.00193.44224.94
Intangible assets total86.00193.44224.94
Buildings39.717.5018.22
Machinery and equipment71.92
Tangible assets total71.9239.717.5018.22
Investments total201.56251.59208.04123.92180.65
Long term receivables total
Finished products/goods6 158.3023 468.9224 395.7816 986.1216 009.80
Advance payments6 815.303 708.38671.86898.43441.81
Inventories total12 973.6027 177.3025 067.6417 884.5516 451.60
Current trade debtors119.70346.21334.56428.12450.90
Current amounts owed by group member comp.8.50434.17889.33
Prepayments and accrued income33.3342.1649.63
Current other receivables15.320.01
Short term receivables total143.52346.21367.89904.461 389.85
Cash and bank deposits4 667.012.87
Cash and cash equivalents4 667.012.87
Balance sheet total (assets)18 057.6127 817.6825 737.0719 106.3718 265.28

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital50.0050.0050.0050.0050.00
Shares repurchased913.006 528.936 900.001 950.00
Other reserves86.00193.44224.94
Retained earnings661.132 972.619 864.005 329.005 777.93
Profit of the financial year8 840.416 977.392 472.442 430.431 995.26
Shareholders equity total10 464.5416 528.9312 472.4414 902.879 998.12
Provisions6.306.301.650.69
Non-current deferred tax liabilities2 514.161 989.61714.45689.33564.89
Non-current liabilities total2 514.161 989.61714.45689.33564.89
Current loans from credit institutions1 800.814 678.93238.994 822.01
Current trade creditors79.37564.54387.97368.59394.29
Current owed to participating268.54
Current owed to group member426.60118.422 993.68
Short-term deferred tax liabilities276.942 514.161 989.61714.45689.33
Other non-interest bearing current liabilities4 021.184 294.902 498.332 192.151 795.94
Current liabilities total5 072.629 292.8412 548.533 514.187 701.57
Balance sheet total (liabilities)18 057.6127 817.6825 737.0719 106.3718 265.28
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