UDVIKLING DANMARK A/S — Credit Rating and Financial Key Figures

CVR number: 32347622
Bygmestervej 57, 2400 København NV
corporate@urbanrigger.com
tel: 25348384
www.urbanrigger.com
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit872.13- 250.04-1 735.26-2 146.81-1 246.72
Employee benefit expenses- 376.50- 698.62- 271.21
EBIT872.13- 250.04-2 111.77-2 845.43-1 517.93
Other financial income573.90578.311 213.733 004.532 978.02
Other financial expenses- 573.90- 607.04-1 215.42-3 077.53-3 093.71
Net income from associates (fin.)-1 700.46-2 135.72-6 485.734 450.13-3 638.63
Pre-tax profit- 828.34-2 414.49-8 599.181 531.69-5 272.25
Income taxes54.1469.35- 874.87- 405.94
Net earnings- 774.20-2 345.14-9 474.051 125.75-5 272.25

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings1 775.00
Tangible assets total1 775.00
Investments total
Long term receivables total
Inventories total
Current amounts owed by group member comp.57 440.5059 399.1651 916.3953 004.6449 801.22
Prepayments and accrued income49.745.35
Current other receivables459.92104.25179.373 952.52
Current deferred tax assets1 185.901 255.25380.38
Short term receivables total59 086.3260 654.4152 450.7553 189.3653 753.74
Cash and bank deposits0.604.0013.93554.7132.88
Cash and cash equivalents0.604.0013.93554.7132.88
Balance sheet total (assets)60 861.9260 658.4152 464.6953 744.0753 786.62

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital734.94734.94734.94734.944 594.40
Retained earnings-11 901.12-12 675.32-15 020.46-24 494.51-23 368.76
Profit of the financial year- 774.20-2 345.14-9 474.051 125.75-5 272.25
Shareholders equity total-11 940.38-14 285.52-23 759.58-22 633.83-24 046.61
Provisions240.00
Non-current owed to group member6 054.986 054.989 092.488 658.138 658.13
Non-current owed to participating3 037.503 037.503 037.50
Non-current liabilities total6 054.986 054.9812 129.9811 695.6311 695.63
Current loans from credit institutions59 544.3662 047.8563 023.3063 693.6163 732.35
Current trade creditors15.4010.72563.33892.951 375.63
Current owed to participating3 037.503 037.50
Current owed to group member3 037.503 037.50
Other non-interest bearing current liabilities872.55755.38507.6595.721 029.63
Current liabilities total66 507.3268 888.9564 094.2864 682.2766 137.61
Balance sheet total (liabilities)60 861.9260 658.4152 464.6953 744.0753 786.62
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