DCC Energiservice Center A/S — Credit Rating and Financial Key Figures

CVR number: 30362748
Nærum Hovedgade 8, 2850 Nærum
tel: 70225532
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit38 070.8138 060.5732 116.0037 303.0029 541.00
Employee benefit expenses-31 795.19-34 103.65-28 966.00-38 671.00-27 770.00
Other operating expenses-50.00
Total depreciation-3 000.72-2 679.46-1 957.00-2 221.00- 256.00
EBIT3 274.901 277.461 143.00-3 589.001 515.00
Other financial income219.38335.78151.00191.0085.00
Other financial expenses- 192.73- 113.49- 150.00-9.00
Net income from associates (fin.)39.0323.0244.00
Pre-tax profit3 340.581 522.761 188.00-3 407.001 600.00
Income taxes- 736.76- 333.96- 256.00- 123.00-5 035.00
Net earnings2 603.831 188.81932.00-3 530.00-3 435.00

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights491.00
Goodwill11 384.759 301.547 683.006 084.00
Intangible assets total11 384.759 301.547 683.006 575.00
Buildings31.0918.477.001.00
Machinery and equipment1 694.71676.75325.00714.00269.00
Tangible assets total1 725.80695.22332.00715.00269.00
Holdings in group member companies750.73773.74
Investments total750.73773.74
Non-current loans receivable200.00
Non-current other receivables207.03134.28146.0025.00
Long term receivables total407.03134.28146.0025.00
Raw materials and consumables4 563.534 197.00977.00
Finished products/goods4 874.49
Inventories total4 874.494 563.534 197.00977.00
Current trade debtors3 746.926 128.888 300.0010 208.00121.00
Current amounts owed by group member comp.9 851.867 685.193 204.0011 581.00
Prepayments and accrued income409.79478.45260.00316.00
Current other receivables137.61309.94522.00160.00
Current deferred tax assets69.00
Short term receivables total14 146.1714 602.4712 286.0010 684.0011 771.00
Cash and bank deposits180.88661.2016.002 544.001 395.00
Cash and cash equivalents180.88661.2016.002 544.001 395.00
Balance sheet total (assets)33 469.8430 731.9724 660.0021 520.0013 435.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital3 125.003 125.003 125.003 125.003 125.00
Shares repurchased2 603.831 188.81
Retained earnings3 349.584 764.595 953.006 886.00250.00
Profit of the financial year2 603.831 188.81932.00-3 530.00-3 435.00
Shareholders equity total11 682.2310 267.2110 010.006 481.00-60.00
Provisions704.62674.39747.00830.00
Non-current loans from credit institutions1 075.00
Non-current leasing loans193.78114.5280.0035.00
Non-current other liabilities2 475.852 074.99
Non-current liabilities total3 744.642 189.5180.0035.00
Current loans from credit institutions1 313.7031.74745.00
Current trade creditors2 065.712 875.702 366.002 384.00681.00
Current owed to participating2 832.00
Current owed to group member2 179.823 085.542 832.003 750.00
Short-term deferred tax liabilities795.70364.19183.00232.004 860.00
Other non-interest bearing current liabilities10 845.6111 105.908 372.001 128.004 204.00
Accruals and deferred income137.81137.812 157.004 766.00
Current liabilities total17 338.3517 600.8613 823.0014 174.0013 495.00
Balance sheet total (liabilities)33 469.8430 731.9724 660.0021 520.0013 435.00
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