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TDC Holding A/S — Credit Rating and Financial Key Figures

CVR number: 14773908
Teglholmsgade 1, 2450 København SV
mailviacvr@tdc.dk
tel: 70703000
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See parent company

Income statement (mDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales16 002.00874.00729.00688.00566.00
Other operating income184.009.002.0022.00
Costs of manufacturing-4 914.00
External services-1 886.00- 480.00- 306.00- 294.00- 289.00
Gross profit11 088.00403.00425.00394.00299.00
Employee benefit expenses-2 959.00-8.00-24.00-2.00-3.00
Other operating expenses- 424.00-51.004.00-67.00-57.00
Total depreciation-4 187.00- 359.00-93.00- 409.00- 275.00
EBIT1 816.00-15.00312.00-84.00-36.00
Other financial income9 474.001 257.00419.00360.00
Other financial expenses-1 141.00-4 222.00-1 353.00-1 252.00-1 210.00
Pre-tax profit675.005 237.00216.00- 917.00- 886.00
Income taxes- 279.0031.00-88.00-54.00-91.00
Net earnings396.005 268.00128.00- 971.00- 977.00

Assets (mDKK)

2021
2022
2023
2024
2025
Intangible rights24 652.00
Intangible assets total24 652.00
Advance payments and construction in progress18.00
Other tangible assets16 852.00261.00245.00213.00132.00
Tangible assets total16 870.00261.00245.00213.00132.00
Holdings in group member companies30 081.0029 038.0028 013.0027 422.00
Other non-current investments13 783.0013 527.0012 533.0012 169.0011 145.00
Investments total13 783.0043 608.0041 571.0040 182.0038 567.00
Non-current other receivables43.004.002.002.002.00
Long term receivables total43.004.002.002.002.00
Inventories total252.00
Current trade debtors1 444.0020.0037.0015.0030.00
Prepayments and accrued income934.0018.007.008.006.00
Current other receivables20.006 792.00765.00717.00132.00
Current deferred tax assets8.0028.00
Fair value of financial assets88.00
Short term receivables total2 486.006 838.00809.00740.00196.00
Cash and bank deposits811.001 433.00326.00328.00687.00
Cash and cash equivalents811.001 433.00326.00328.00687.00
Balance sheet total (assets)58 897.0052 144.0042 953.0041 465.0039 584.00

Equity and liabilities (mDKK)

2021
2022
2023
2024
2025
Share capital812.00812.00812.00812.00812.00
Other reserves-51.00-6.00
Retained earnings16 070.0033 999.0034 737.0034 763.0033 182.00
Profit of the financial year396.005 268.00128.00- 971.00- 977.00
Shareholders equity total17 227.0040 073.0035 677.0034 604.0033 017.00
Non-current loans from credit institutions17 850.00
Non-current leasing loans3 657.003 170.002 950.002 646.002 444.00
Non-current owed to participating2 114.001 438.001 497.001 560.00
Provisions415.005.004.002.002.00
Non-current other liabilities2 157.0018.0019.0018.0017.00
Non-current deferred tax liabilities3 996.002 172.001 956.001 947.001 811.00
Non-current liabilities total28 075.007 479.006 367.006 110.005 834.00
Current loans from credit institutions3 721.003 565.00
Current leasing loans475.00402.00403.00355.00346.00
Current trade creditors4 036.00195.00299.00256.00207.00
Short-term deferred tax liabilities104.0013.0010.00
Other non-interest bearing current liabilities2 681.00309.0096.0039.0090.00
Current provisions196.00103.0098.0091.0090.00
Accruals and deferred income2 382.0018.00
Current liabilities total13 595.004 592.00909.00751.00733.00
Balance sheet total (liabilities)58 897.0052 144.0042 953.0041 465.0039 584.00
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