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Carelink Pleje Ikast-Brande ApS — Credit Rating and Financial Key Figures

CVR number: 36961767
E Christensens Vej 23, 7430 Ikast
kontakt@ppoo.dk
tel: 27835053
www.ppoo.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit14 035.0112 298.9513 951.2515 854.2415 646.16
Employee benefit expenses-12 910.90-13 978.81-12 530.44-14 850.07-14 270.56
Total depreciation- 151.59- 137.82- 117.00-95.81- 295.12
EBIT972.52-1 817.681 303.81908.361 080.48
Other financial income124.0186.67135.87154.46
Other financial expenses-48.55- 277.83- 129.41- 159.13- 185.74
Pre-tax profit923.97-1 971.491 261.07885.091 049.20
Income taxes- 210.00420.62- 285.99- 209.78- 237.12
Net earnings713.97-1 550.88975.08675.31812.08

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings253.32173.7996.5519.31
Machinery and equipment103.8440.2858.5256.5111.83
Other tangible assets740.61
Tangible assets total357.16214.07155.0775.82752.44
Investments total
Long term receivables total
Inventories total
Current trade debtors2 781.791 643.552 341.421 793.891 630.56
Current amounts owed by group member comp.963.442 933.253 671.174 849.113 048.21
Prepayments and accrued income75.93115.8542.7668.8889.69
Current other receivables127.06246.76140.03101.71132.89
Current deferred tax assets415.44141.21
Short term receivables total3 948.225 354.856 336.606 813.594 901.35
Cash and bank deposits2 832.912 063.29
Cash and cash equivalents2 832.912 063.29
Balance sheet total (assets)7 138.295 568.926 491.676 889.417 717.08

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital50.0050.0050.0050.0050.00
Retained earnings450.001 163.97- 386.91588.181 263.48
Profit of the financial year713.97-1 550.88975.08675.31812.08
Shareholders equity total1 213.97- 336.91638.181 313.482 125.56
Provisions5.1746.4625.17
Non-current leasing loans563.34
Non-current other liabilities1 082.12
Non-current deferred tax liabilities1 156.401 156.341 192.221 259.42
Non-current liabilities total1 082.121 156.401 156.341 192.221 822.76
Current loans from credit institutions1 798.68584.671 302.67164.19
Current trade creditors164.10129.9260.7584.59154.00
Current owed to group member2 122.14699.641 096.75520.73905.59
Short-term deferred tax liabilities73.1818.3522.11258.41
Other non-interest bearing current liabilities2 477.612 121.192 936.632 407.142 261.40
Current liabilities total4 837.034 749.434 697.154 337.243 743.59
Balance sheet total (liabilities)7 138.295 568.926 491.676 889.417 717.08
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