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TDC NET A/S — Credit Rating and Financial Key Figures

CVR number: 40075267
Teglholmsgade 1, 2450 København SV
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Income statement (mDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales6 674.006 639.006 461.006 455.006 344.00
Other operating income260.00272.00378.00316.00291.00
Costs of manufacturing- 318.00- 262.00- 305.00- 287.00- 294.00
External services-1 139.00-1 102.00- 845.00- 795.00- 798.00
Gross profit6 356.006 377.006 156.006 168.006 050.00
Employee benefit expenses- 979.00-1 027.00- 994.00- 997.00- 925.00
Other operating expenses-96.00-50.00-78.00- 132.00- 236.00
Total depreciation-2 366.00-2 491.00-2 926.00-2 683.00-2 960.00
EBIT2 036.001 979.001 691.001 877.001 422.00
Other financial income411.00
Other financial expenses- 652.00-1 898.00-1 300.00-1 472.00
Pre-tax profit1 384.002 390.00- 207.00577.00-50.00
Income taxes- 344.00- 472.00- 157.00- 166.00-8.00
Net earnings1 040.001 918.00- 364.00411.00-58.00

Assets (mDKK)

2021
2022
2023
2024
2025
Intangible rights11 599.0011 726.0011 377.0011 351.0011 333.00
Intangible assets total11 599.0011 726.0011 377.0011 351.0011 333.00
Advance payments and construction in progress30.0021.00
Other tangible assets15 521.0016 212.0016 786.0017 515.0017 511.00
Tangible assets total15 521.0016 242.0016 807.0017 515.0017 511.00
Other non-current investments1 220.001 259.00994.00950.00898.00
Investments total1 220.001 259.00994.00950.00898.00
Non-curr. owed by particip. interest comp.2 114.001 438.001 497.001 560.00
Non-current other receivables26.0027.0027.00
Long term receivables total26.002 141.001 465.001 497.001 560.00
Inventories total43.0033.0033.0032.0026.00
Current trade debtors396.00365.00379.00273.00265.00
Current owed by particip. interest comp.1 103.00928.00954.00
Prepayments and accrued income184.00195.00196.0044.0068.00
Current other receivables1 243.001 045.0011.00171.00181.00
Fair value of financial assets1 174.00496.00419.00330.00
Short term receivables total1 823.002 779.002 185.001 835.001 798.00
Cash and bank deposits12.002 240.001 855.001 327.00898.00
Cash and cash equivalents12.002 240.001 855.001 327.00898.00
Balance sheet total (assets)30 244.0036 420.0034 716.0034 507.0034 024.00

Equity and liabilities (mDKK)

2021
2022
2023
2024
2025
Retained earnings8 756.001 046.002 231.001 867.002 278.00
Profit of the financial year1 040.001 918.00- 364.00411.00-58.00
Shareholders equity total9 796.002 964.001 867.002 278.002 220.00
Non-current loans from credit institutions10 526.0022 275.0025 403.0025 174.0024 458.00
Non-current leasing loans1 027.001 036.00672.00613.00580.00
Provisions344.00309.00289.00290.00302.00
Non-current other liabilities1 914.001 777.001 557.001 367.001 164.00
Non-current deferred tax liabilities354.00451.00499.00582.00518.00
Non-current liabilities total14 165.0025 848.0028 420.0028 026.0027 022.00
Current loans from credit institutions2 186.003 583.00772.00
Current leasing loans286.00296.00352.00354.00365.00
Current trade creditors2 086.001 941.001 778.001 884.001 512.00
Short-term deferred tax liabilities174.00147.0022.0065.0057.00
Other non-interest bearing current liabilities1 058.001 149.001 638.001 277.001 461.00
Current provisions16.0019.0033.0060.0058.00
Accruals and deferred income477.00473.00606.00563.00557.00
Current liabilities total6 283.007 608.004 429.004 203.004 782.00
Balance sheet total (liabilities)30 244.0036 420.0034 716.0034 507.0034 024.00
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