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CENTER AIR ApS — Credit Rating and Financial Key Figures

CVR number: 16825735
Lufthavnsvej 44, 4000 Roskilde
centerair@centerair.dk
tel: 46191919
www.centerair.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit9 850.956 245.389 145.0012 040.8718 094.89
Employee benefit expenses-7 971.32-5 730.28-5 302.69-5 289.96-7 681.20
Other operating expenses-97.06
Total depreciation- 166.51- 166.30- 104.30-42.53-37.61
EBIT1 713.12348.803 738.026 611.3210 376.08
Other financial income219.90319.46528.84668.47740.68
Other financial expenses- 172.94- 118.16-18.55-4.35-5.54
Pre-tax profit1 760.08550.104 248.307 275.4511 111.22
Income taxes- 389.44- 128.04- 940.42-1 604.17-2 453.16
Net earnings1 370.63422.063 307.885 671.288 658.05

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Machinery and equipment475.34309.04120.7478.2140.60
Advance payments and construction in progress335.87
Tangible assets total475.34644.91120.7478.2140.60
Investments total126.62126.62126.62126.62111.62
Non-current other receivables10 687.6210 151.461 996.681 277.032 987.56
Long term receivables total10 687.6210 151.461 996.681 277.032 987.56
Inventories total
Current trade debtors1 511.582 011.551 944.314 844.667 669.35
Current amounts owed by group member comp.22 704.8522 390.4416 227.482 531.862 069.94
Current owed by particip. interest comp.98.88173.75
Prepayments and accrued income183.70207.33101.1513.63
Current other receivables812.35461.36378.57408.63111.96
Short term receivables total25 311.3525 244.4318 651.507 798.779 851.25
Cash and bank deposits1 084.94983.837 530.359 683.008 428.52
Cash and cash equivalents1 084.94983.837 530.359 683.008 428.52
Balance sheet total (assets)37 685.8637 151.2528 425.8918 963.6321 419.56

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital200.00200.00200.00200.00200.00
Shares repurchased18 500.005 400.002 000.00
Retained earnings13 660.2115 030.85-3 047.10-5 139.21-1 467.94
Profit of the financial year1 370.63422.063 307.885 671.288 658.05
Shareholders equity total15 230.8515 652.9018 960.796 132.069 390.12
Provisions172.0238.744.630.75
Non-current liabilities total
Current loans from credit institutions34.9357.9514.9274.5241.39
Advances received11 336.228 873.156 673.885 688.314 447.01
Current trade creditors371.17340.12474.44362.64908.32
Current owed to participating486.45263.08114.79132.94115.24
Current owed to group member7 950.8210 252.293 934.742 880.94
Short-term deferred tax liabilities540.83261.32974.531 608.052 453.92
Other non-interest bearing current liabilities1 562.591 411.701 207.921 029.611 182.63
Current liabilities total22 283.0021 459.619 460.4712 830.8112 029.44
Balance sheet total (liabilities)37 685.8637 151.2528 425.8918 963.6321 419.56
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