ShowHeroes ApS — Credit Rating and Financial Key Figures

CVR number: 36044969
Sankt Peders Stræde 28 C, 1453 København K
anders.edslev@showheroes.com
tel: 53745507
showheroes.com
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit668.36328.513 291.887 168.586 657.65
Employee benefit expenses-2 988.70-3 049.19-3 738.80-4 945.26-5 056.22
Total depreciation- 635.72- 407.24- 407.24- 407.24- 407.24
EBIT-2 956.05-3 127.92- 854.161 816.081 194.18
Other financial income104.71473.1027.2938.34
Other financial expenses- 440.85-84.68- 135.98- 166.16- 168.78
Pre-tax profit-3 396.90-3 107.89- 517.041 677.211 063.74
Income taxes-12.07
Net earnings-3 396.90-3 107.89- 529.111 677.211 063.74

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure1 917.101 509.861 102.62695.37288.13
Intangible assets total1 917.101 509.861 102.62695.37288.13
Tangible assets total
Investments total106.50110.04110.04114.30175.52
Long term receivables total
Inventories total
Current trade debtors1 114.44950.373 180.964 399.562 977.62
Current amounts owed by group member comp.1 355.965 241.238 356.53
Prepayments and accrued income137.4674.38132.62
Current other receivables174.83338.74130.43
Current deferred tax assets0.710.710.710.711.71
Short term receivables total1 427.441 364.204 670.269 771.9411 335.86
Cash and bank deposits119.6656.04290.262 002.10381.81
Cash and cash equivalents119.6656.04290.262 002.10381.81
Balance sheet total (assets)3 570.703 040.156 173.1812 583.7212 181.33

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital55.555 055.565 055.565 055.565 055.56
Other reserves1 917.101 509.861 102.62695.37288.13
Retained earnings-6 686.62-9 676.28-12 376.93-12 498.80-10 414.34
Profit of the financial year-3 396.90-3 107.89- 529.111 677.211 063.74
Shareholders equity total-8 110.87-6 218.76-6 747.87-5 070.66-4 006.92
Non-current owed to group member6 382.242 801.584 349.82
Non-current liabilities total6 382.242 801.584 349.82
Current trade creditors927.201 221.592 055.042 765.502 100.08
Current owed to group member1 980.953 707.443 778.388 150.716 068.26
Other non-interest bearing current liabilities1 552.691 241.242 440.776 030.247 459.46
Accruals and deferred income838.49287.05297.04707.93560.45
Current liabilities total5 299.326 457.338 571.2317 654.3816 188.24
Balance sheet total (liabilities)3 570.703 040.156 173.1812 583.7212 181.33
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