INGENIØRFORENINGENS MØDECENTER A/S — Credit Rating and Financial Key Figures

CVR number: 21139211
Kalvebod Brygge 31-33, 1560 København V

Income statement (mDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales28.8629.3247.6449.2451.32
Other operating income3.847.702.260.110.12
Costs of manufacturing-6.32-6.07-10.15-10.13-10.61
External services-10.54-8.06-12.42-12.82-12.39
Gross profit12.0015.1925.0726.2928.32
Employee benefit expenses-18.53-16.28-20.88-22.86-19.66
Other operating expenses-0.01-0.12-0.65
Total depreciation-3.72-3.48-3.47-5.34-5.59
EBIT-6.42-4.570.72-1.913.07
Other financial income0.372.091.091.872.41
Other financial expenses-0.910.84-5.39-1.39-2.45
Pre-tax profit-6.964.38-1.34-1.442.50
Income taxes1.45-1.040.290.29-0.62
Net earnings-5.513.33-1.05-1.141.89

Assets (mDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters157.81155.66153.61151.56149.49
Machinery and equipment3.071.849.229.667.93
Advance payments and construction in progress1.59
Tangible assets total160.87157.50162.83161.22159.01
Investments total0.020.020.020.020.02
Long term receivables total
Raw materials and consumables0.390.900.410.390.41
Inventories total0.390.900.410.390.41
Current trade debtors0.181.092.100.581.72
Current amounts owed by group member comp.2.542.352.432.132.53
Current other receivables0.530.580.470.531.12
Current deferred tax assets0.142.752.261.633.32
Short term receivables total3.396.777.264.888.68
Other current investments26.1527.4421.8022.8025.69
Cash and bank deposits3.905.126.677.947.51
Cash and cash equivalents30.0532.5628.4830.7433.20
Balance sheet total (assets)194.72197.74199.00197.25201.32

Equity and liabilities (mDKK)

2020
2021
2022
2023
2024
Share capital1.181.181.181.181.18
Retained earnings73.5768.0671.4070.3569.20
Profit of the financial year-5.513.33-1.05-1.141.89
Shareholders equity total69.2572.5871.5370.3972.27
Provisions8.2710.3811.1411.5211.80
Non-current loans from credit institutions106.80106.80106.80106.80106.80
Non-current liabilities total106.80106.80106.80106.80106.80
Advances received0.270.090.01
Current trade creditors1.031.031.480.582.51
Short-term deferred tax liabilities0.051.530.791.51
Other non-interest bearing current liabilities9.315.427.787.096.42
Current liabilities total10.407.989.538.5410.45
Balance sheet total (liabilities)194.72197.74199.00197.25201.32
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