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Bitpeople Software ApS — Credit Rating and Financial Key Figures

CVR number: 35638873
Sintrupvej 71 B, 8220 Brabrand
moe@clearviewtrade.com
tel: 53537666
www.clearviewtrade.com
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit4 668.533 271.378 640.848 134.4920 191.52
Employee benefit expenses-12 857.73-13 371.26-8 232.03-9 625.95-18 533.74
Total depreciation-4 256.43-5 104.93-4 567.11-4 481.50-5 605.38
EBIT-12 445.63-15 204.82-4 158.30-5 972.96-3 947.60
Other financial income-6.521.140.923.8845.83
Other financial expenses-1 379.79-1 775.49-1 692.15-2 302.79- 200.34
Net income from associates (fin.)- 724.44
Pre-tax profit-13 831.94-16 979.17-5 849.52-8 271.87-4 826.55
Income taxes925.44721.62
Net earnings-12 906.50-16 257.54-5 849.52-8 271.87-4 826.55

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure20 671.2218 852.7416 369.4412 818.289 903.47
Goodwill9 651.03
Intangible assets total20 671.2218 852.7416 369.4412 818.2819 554.51
Machinery and equipment6.34
Tangible assets total6.34
Holdings in group member companies1 472.72
Investments total275.51196.43201.8715.381 709.69
Long term receivables total
Inventories total
Current trade debtors1 869.672 420.392 911.792 239.064 349.50
Prepayments and accrued income52.9655.6360.8322.26366.41
Current other receivables582.41577.6214.63377.69
Current deferred tax assets923.86721.62
Short term receivables total3 428.903 775.262 972.612 275.945 093.60
Cash and bank deposits3 445.91124.90519.5634.7335.14
Cash and cash equivalents3 445.91124.90519.5634.7335.14
Balance sheet total (assets)27 827.8922 949.3420 063.4915 144.3326 392.94

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital477.931 039.401 114.881 114.882 229.76
Other reserves15 441.9114 705.1412 768.169 998.267 724.71
Retained earnings3 742.14- 324.01-13 699.80-16 779.42-16 062.48
Profit of the financial year-12 906.50-16 257.54-5 849.52-8 271.87-4 826.55
Shareholders equity total6 755.48- 837.02-5 666.28-13 938.15-10 934.55
Provisions5 207.64
Non-current loans from credit institutions12 019.10
Non-current deferred tax liabilities1 435.7916 852.3018 330.0219 948.6916 078.50
Non-current liabilities total13 454.8916 852.3018 330.0219 948.6916 078.50
Current loans from credit institutions3 168.2532.5433.151 200.873 884.11
Current trade creditors1 405.203 435.162 029.661 797.243 552.97
Current owed to participating280.60
Current owed to group member375.49200.57412.59647.38
Other non-interest bearing current liabilities1 359.61-3 481.221 939.231 487.097 307.00
Accruals and deferred income1 403.861 364.453 197.144 235.995 857.54
Current liabilities total7 617.521 726.427 399.749 133.7921 248.99
Balance sheet total (liabilities)27 827.8922 949.3420 063.4915 144.3326 392.94
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