KRISTA OG VIGGO PETERSENS FOND — Credit Rating and Financial Key Figures

CVR number: 24202135
Store Kongensgade 59 A, 1264 København K

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit3 052.0010 128.0010 423.009 772.0010 448.03
Employee benefit expenses-2 492.00-2 703.00-2 626.00-3 315.00-3 316.03
Reduction in value of non-current assets58 821.0095 079.00-5 673.00-49 343.0049 318.23
EBIT59 381.00102 504.002 124.00-42 886.0056 450.23
Other financial income27 010.0087 886.0015 708.0044 645.0025 609.38
Other financial expenses-8 619.00-10 470.00-21 879.00- 296.00- 927.51
Pre-tax profit77 772.00179 920.00-4 047.001 463.0081 132.11
Income taxes- 196.00-1 606.00- 366.00- 876.00- 910.47
Net earnings77 576.00178 314.00-4 413.00587.0080 221.63

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings612 355.00710 809.00712 543.00685 740.00741 680.00
Tangible assets total612 355.00710 809.00712 543.00685 740.00741 680.00
Participating interests50.0050.0050.0025.0025.00
Investments total50.0050.0050.0025.0025.00
Non-current loans receivable256 427.00309 810.00277 826.00282 479.00272 666.83
Long term receivables total256 427.00309 810.00277 826.00282 479.00272 666.83
Inventories total
Current other receivables8 353.004 340.0020 045.0021 328.0019 427.65
Short term receivables total8 353.004 340.0020 045.0021 328.0019 427.65
Cash and bank deposits4 602.0023 286.00855.003 771.007 827.47
Cash and cash equivalents4 602.0023 286.00855.003 771.007 827.47
Balance sheet total (assets)881 787.001 048 295.001 011 319.00993 343.001 041 626.96

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital100 000.00100 000.00100 000.00100 000.00100 000.00
Other reserves521 204.00637 492.00631 820.00595 179.00652 449.67
Other restricted equity20 291.0025 504.0015 742.0035 736.0026 048.34
Retained earnings97 895.0034 182.00203 171.00200 401.00118 715.90
Profit of the financial year77 576.00178 314.00-4 413.00587.0080 221.63
Shareholders equity total816 966.00975 492.00946 320.00931 903.00977 435.54
Non-current loans from credit institutions49 864.0046 384.0042 458.0038 007.0040 322.46
Non-current other liabilities10 935.0011 777.0011 777.0013 687.0013 670.74
Non-current liabilities total60 799.0058 161.0054 235.0051 694.0053 993.20
Current loans from credit institutions853.002 302.006 038.003 812.002 798.22
Other non-interest bearing current liabilities3 169.0012 340.004 726.005 934.007 400.00
Current liabilities total4 022.0014 642.0010 764.009 746.0010 198.22
Balance sheet total (liabilities)881 787.001 048 295.001 011 319.00993 343.001 041 626.96
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