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 length1212121212
Net sales
Gross profit2 278.2092.60524.912 068.92224.43
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-1 055.86-2 364.98-1 007.33472.15-1 085.14
Other financial income0.0728.864.292.291.98
Other financial expenses- 321.09- 323.12- 301.28- 198.89- 168.97
Net income from associates (fin.)11 970.00
Pre-tax profit-1 376.87-2 659.23-1 304.32275.5510 717.87
Income taxes428.73644.21-14.69-60.08273.05
Net earnings- 948.14-2 015.03-1 319.01215.4710 990.92

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure2 934.252 360.841 598.44450.00
Intangible rights44.6429.7614.88
Intangible assets total2 978.892 390.601 613.32450.00
Tangible assets total
Participating interests11 990.00
Investments total11 990.00
Non-current loans receivable804.90
Long term receivables total804.90
Finished products/goods150.24
Inventories total150.24
Current trade debtors854.931 242.12260.902 830.15
Current amounts owed by group member comp.99.67
Prepayments and accrued income33.27
Current other receivables2 028.500.19
Current deferred tax assets440.54450.32357.94
Short term receivables total3 456.911 692.44260.902 830.35357.94
Cash and bank deposits94.55188.4221.4353.9641.50
Cash and cash equivalents94.55188.4221.4353.9641.50
Balance sheet total (assets)6 680.594 271.461 895.663 334.3113 194.34

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital400.00400.00400.00400.00400.00
Other reserves2 272.531 841.451 246.79351.00
Retained earnings-1 972.61-2 489.67-2 215.89-2 639.11-2 072.64
Profit of the financial year- 948.14-2 015.03-1 319.01215.4710 990.92
Shareholders equity total- 248.22-2 263.24-1 888.11-1 672.649 318.28
Provisions527.12333.23347.9294.32
Non-current other liabilities149.7166.3869.42
Non-current deferred tax liabilities69.4269.42
Non-current liabilities total149.7166.3869.4269.4269.42
Current bonds1 162.95784.46430.99
Current loans from credit institutions2 640.852 912.291 747.622 981.812 025.76
Current trade creditors875.92394.90455.87763.2718.75
Current owed to group member1 969.321 986.451 331.15
Short-term deferred tax liabilities313.68
Other non-interest bearing current liabilities765.87841.45
Current liabilities total6 251.976 135.093 366.444 843.223 806.65
Balance sheet total (liabilities)6 680.594 271.461 895.663 334.3113 194.34
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