Circle K Terminal Denmark ApS — Credit Rating and Financial Key Figures
CVR number: 40130977
Borgmester Christiansens Gade 50, 2450 København SV
Income statement (kDKK)
2020 | 2021 | 2022 | 2023 | 2024 | |
---|---|---|---|---|---|
Fiscal period length | 12 | 12 | 12 | 12 | 12 |
Net sales | |||||
Gross profit | 20 736.00 | 17 913.00 | 17 601.00 | 21 134.00 | 19 923.00 |
Total depreciation | -9 925.00 | -9 985.00 | -9 867.00 | -10 056.00 | -11 023.00 |
EBIT | 10 811.00 | 7 928.00 | 7 734.00 | 11 078.00 | 8 900.00 |
Other financial income | - 387.00 | 587.00 | 724.00 | ||
Other financial expenses | - 436.00 | - 399.00 | - 380.00 | -1 166.00 | |
Pre-tax profit | 10 424.00 | 7 492.00 | 7 335.00 | 11 285.00 | 8 458.00 |
Income taxes | 1 311.00 | -1 621.00 | -1 942.00 | -2 474.00 | -1 793.00 |
Net earnings | 11 735.00 | 5 871.00 | 5 393.00 | 8 811.00 | 6 665.00 |
Assets (kDKK)
2020 | 2021 | 2022 | 2023 | 2024 | |
---|---|---|---|---|---|
Intangible assets total | |||||
Land and waters | 31 330.00 | 28 610.00 | 24 972.00 | 25 983.00 | 24 693.00 |
Buildings | 117 699.00 | 113 321.00 | 107 454.00 | 101 518.00 | 101 371.00 |
Machinery and equipment | 1 599.00 | 1 439.00 | 1 279.00 | 1 119.00 | 3 038.00 |
Advance payments and construction in progress | 2 808.00 | 2 637.00 | 10 996.00 | 12 494.00 | 3 118.00 |
Other tangible assets | 18 936.00 | 17 727.00 | 17 028.00 | 16 480.00 | 16 044.00 |
Tangible assets total | 172 372.00 | 163 734.00 | 161 729.00 | 157 594.00 | 148 264.00 |
Investments total | |||||
Long term receivables total | |||||
Inventories total | |||||
Current trade debtors | 105.00 | 57.00 | 18.00 | 54.00 | 31.00 |
Current amounts owed by group member comp. | 15 040.00 | 29 978.00 | 19 848.00 | 24 961.00 | 30 198.00 |
Prepayments and accrued income | 89.00 | 279.00 | 45.00 | ||
Short term receivables total | 15 234.00 | 30 314.00 | 19 911.00 | 25 015.00 | 30 229.00 |
Balance sheet total (assets) | 187 606.00 | 194 048.00 | 181 640.00 | 182 609.00 | 178 493.00 |
Equity and liabilities (kDKK)
2020 | 2021 | 2022 | 2023 | 2024 | |
---|---|---|---|---|---|
Share capital | 50.00 | 50.00 | 50.00 | 50.00 | 50.00 |
Share premium account | 113 315.00 | 113 315.00 | 113 315.00 | 113 315.00 | 113 315.00 |
Shares repurchased | 20 000.00 | 7 500.00 | 10 000.00 | 20 000.00 | |
Other reserves | -19 999.00 | ||||
Other restricted equity | 20 000.00 | ||||
Retained earnings | 21 374.00 | 13 109.00 | 11 480.00 | 6 873.00 | -4 316.00 |
Profit of the financial year | 11 735.00 | 5 871.00 | 5 393.00 | 8 811.00 | 6 665.00 |
Shareholders equity total | 146 474.00 | 152 346.00 | 137 738.00 | 139 049.00 | 135 714.00 |
Provisions | 17 869.00 | 17 754.00 | 18 058.00 | 19 629.00 | 19 132.00 |
Non-current leasing loans | 17 857.00 | 16 739.00 | 16 077.00 | 15 553.00 | 15 082.00 |
Non-current liabilities total | 17 857.00 | 16 739.00 | 16 077.00 | 15 553.00 | 15 082.00 |
Current trade creditors | 2 857.00 | 4 130.00 | 7 795.00 | 2 638.00 | 1 894.00 |
Current owed to group member | 164.00 | 278.00 | 205.00 | 304.00 | 24.00 |
Short-term deferred tax liabilities | 132.00 | 762.00 | 286.00 | 2 516.00 | 3 614.00 |
Other non-interest bearing current liabilities | 2 253.00 | 2 039.00 | 1 481.00 | 2 920.00 | 3 033.00 |
Current liabilities total | 5 406.00 | 7 209.00 | 9 767.00 | 8 378.00 | 8 565.00 |
Balance sheet total (liabilities) | 187 606.00 | 194 048.00 | 181 640.00 | 182 609.00 | 178 493.00 |
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