COINIFY ApS — Credit Rating and Financial Key Figures

CVR number: 35847995
Grønnegade 10, 1107 København K
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit19 312.7634 302.625 019.8924 013.8533 149.26
Employee benefit expenses-20 330.35-48 061.58-13 849.11-23 064.62-28 749.43
Other operating expenses-3 032.38-2 481.75
Total depreciation- 170.17- 326.87-85.89-29.11- 232.89
EBIT-1 187.76-14 085.83-8 915.11-2 112.261 685.19
Other financial income1 603.34404.71128.8974.861 591.53
Other financial expenses- 402.24-1 327.61- 465.88- 802.99-1 563.78
Pre-tax profit13.34-15 008.73-9 252.11-2 840.391 712.93
Income taxes0.07-2 500.00
Net earnings13.41-17 508.73-9 252.11-2 840.391 712.93

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure958.28
Intangible rights21.7016.2810.855.43
Intangible assets total21.7016.2810.855.43958.28
Machinery and equipment248.86238.06176.39212.38507.14
Tangible assets total248.86238.06176.39212.38507.14
Holdings in group member companies80.00
Investments total80.00336.46
Non-current other receivables289.0060.6959.13103.4968.74
Long term receivables total289.0060.6959.13103.4968.74
Finished products/goods7 364.464 835.944 787.0631 393.3814 206.33
Inventories total7 364.464 835.944 787.0631 393.3814 206.33
Current amounts owed by group member comp.463.05
Prepayments and accrued income2 044.871 963.90571.16741.13
Current other receivables4 601.626 306.696 067.549 971.5918 809.36
Short term receivables total5 064.678 351.568 031.4410 542.7519 550.49
Cash and bank deposits27 913.4314 483.874 965.6317 895.1138 795.80
Cash and cash equivalents27 913.4314 483.874 965.6317 895.1138 795.80
Balance sheet total (assets)40 982.1227 986.3918 030.5060 152.5374 423.23

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital393.88450.15450.15450.15500.00
Share premium account77 718.0886 811.3386 811.3386 811.33108 151.92
Retained earnings-61 370.01-61 356.61-78 865.33-88 117.41-90 957.80
Profit of the financial year13.41-17 508.73-9 252.11-2 840.391 712.93
Shareholders equity total16 755.368 396.15- 855.96-3 696.3219 407.06
Capital loans21 390.443 885.18
Non-current liabilities total21 390.443 885.18
Current trade creditors765.491 135.31354.82826.80
Current owed to group member21.843 135.97
Other non-interest bearing current liabilities24 226.7618 802.9114 615.1842 103.5950 304.19
Current liabilities total24 226.7619 590.2418 886.4642 458.4151 131.00
Balance sheet total (liabilities)40 982.1227 986.3918 030.5060 152.5374 423.23
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