Peak Vision A/S — Credit Rating and Financial Key Figures
CVR number: 35412220
Øster Allé 56, 2100 København Ø
info@DoseSystem.com
tel: 70707447
www.DoseSystem.com
Income statement (kDKK)
2020 | 2021 | 2022 | 2023 | 2024 | |
---|---|---|---|---|---|
Fiscal period length | 12 | 12 | 12 | 12 | 12 |
Net sales | |||||
Gross profit | 2 278.20 | 92.60 | 524.91 | 2 068.92 | 224.43 |
Employee benefit expenses | -1 906.51 | -1 193.72 | - 414.31 | -0.25 | - 859.57 |
Total depreciation | -1 427.55 | -1 263.86 | -1 117.93 | -1 596.52 | - 450.00 |
EBIT | -1 055.86 | -2 364.98 | -1 007.33 | 472.15 | -1 085.14 |
Other financial income | 0.07 | 28.86 | 4.29 | 2.29 | 1.98 |
Other financial expenses | - 321.09 | - 323.12 | - 301.28 | - 198.89 | - 168.97 |
Net income from associates (fin.) | 11 970.00 | ||||
Pre-tax profit | -1 376.87 | -2 659.23 | -1 304.32 | 275.55 | 10 717.87 |
Income taxes | 428.73 | 644.21 | -14.69 | -60.08 | 273.05 |
Net earnings | - 948.14 | -2 015.03 | -1 319.01 | 215.47 | 10 990.92 |
Assets (kDKK)
2020 | 2021 | 2022 | 2023 | 2024 | |
---|---|---|---|---|---|
Development expenditure | 2 934.25 | 2 360.84 | 1 598.44 | 450.00 | |
Intangible rights | 44.64 | 29.76 | 14.88 | ||
Intangible assets total | 2 978.89 | 2 390.60 | 1 613.32 | 450.00 | |
Tangible assets total | |||||
Participating interests | 11 990.00 | ||||
Investments total | 11 990.00 | ||||
Non-current loans receivable | 804.90 | ||||
Long term receivables total | 804.90 | ||||
Finished products/goods | 150.24 | ||||
Inventories total | 150.24 | ||||
Current trade debtors | 854.93 | 1 242.12 | 260.90 | 2 830.15 | |
Current amounts owed by group member comp. | 99.67 | ||||
Prepayments and accrued income | 33.27 | ||||
Current other receivables | 2 028.50 | 0.19 | |||
Current deferred tax assets | 440.54 | 450.32 | 357.94 | ||
Short term receivables total | 3 456.91 | 1 692.44 | 260.90 | 2 830.35 | 357.94 |
Cash and bank deposits | 94.55 | 188.42 | 21.43 | 53.96 | 41.50 |
Cash and cash equivalents | 94.55 | 188.42 | 21.43 | 53.96 | 41.50 |
Balance sheet total (assets) | 6 680.59 | 4 271.46 | 1 895.66 | 3 334.31 | 13 194.34 |
Equity and liabilities (kDKK)
2020 | 2021 | 2022 | 2023 | 2024 | |
---|---|---|---|---|---|
Share capital | 400.00 | 400.00 | 400.00 | 400.00 | 400.00 |
Other reserves | 2 272.53 | 1 841.45 | 1 246.79 | 351.00 | |
Retained earnings | -1 972.61 | -2 489.67 | -2 215.89 | -2 639.11 | -2 072.64 |
Profit of the financial year | - 948.14 | -2 015.03 | -1 319.01 | 215.47 | 10 990.92 |
Shareholders equity total | - 248.22 | -2 263.24 | -1 888.11 | -1 672.64 | 9 318.28 |
Provisions | 527.12 | 333.23 | 347.92 | 94.32 | |
Non-current other liabilities | 149.71 | 66.38 | 69.42 | ||
Non-current deferred tax liabilities | 69.42 | 69.42 | |||
Non-current liabilities total | 149.71 | 66.38 | 69.42 | 69.42 | 69.42 |
Current bonds | 1 162.95 | 784.46 | 430.99 | ||
Current loans from credit institutions | 2 640.85 | 2 912.29 | 1 747.62 | 2 981.81 | 2 025.76 |
Current trade creditors | 875.92 | 394.90 | 455.87 | 763.27 | 18.75 |
Current owed to group member | 1 969.32 | 1 986.45 | 1 331.15 | ||
Short-term deferred tax liabilities | 313.68 | ||||
Other non-interest bearing current liabilities | 765.87 | 841.45 | |||
Current liabilities total | 6 251.97 | 6 135.09 | 3 366.44 | 4 843.22 | 3 806.65 |
Balance sheet total (liabilities) | 6 680.59 | 4 271.46 | 1 895.66 | 3 334.31 | 13 194.34 |
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