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CURIOSITE ApS — Credit Rating and Financial Key Figures

CVR number: 33381131
Kastelsvej 18, 2100 København Ø
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit3 285.453 192.903 231.683 527.663 717.49
Employee benefit expenses-2 164.88-2 690.11-2 786.26-2 935.72-2 877.17
Total depreciation- 176.78- 200.47- 174.07- 259.18- 323.14
EBIT943.79302.31271.35332.76517.18
Other financial income4.461.5317.527.4185.45
Other financial expenses-43.22- 166.48- 188.86- 357.66- 320.13
Pre-tax profit905.03137.36100.0197.87283.33
Income taxes- 201.83-45.41-26.94-23.63- 211.84
Net earnings703.1991.9573.0774.2471.49

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure223.19107.73964.181 086.34794.34
Intangible assets total223.19107.73964.181 086.34794.34
Buildings13.77100.0754.989.89
Machinery and equipment63.3321.2547.5426.285.03
Tangible assets total77.10121.32102.5236.175.03
Investments total173.91173.91173.91173.91173.91
Long term receivables total
Finished products/goods3 546.226 055.857 609.517 613.009 209.06
Inventories total3 546.226 055.857 609.517 613.009 209.06
Current trade debtors3 168.65757.832 182.84682.761 057.49
Current amounts owed by group member comp.74.6776.1877.75
Prepayments and accrued income78.4241.1644.8742.3450.14
Current other receivables751.5174.6975.7235.7121.62
Short term receivables total3 998.59873.682 378.10837.001 206.99
Cash and bank deposits256.26123.3672.2885.3715.24
Cash and cash equivalents256.26123.3672.2885.3715.24
Balance sheet total (assets)8 275.267 455.8511 300.499 831.7911 404.57

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital80.0080.0080.0080.0080.00
Shares repurchased57.20
Other reserves174.0884.03752.06847.35619.59
Retained earnings4 143.994 937.244 302.264 280.044 582.04
Profit of the financial year703.1991.9573.0774.2471.49
Shareholders equity total5 158.465 193.225 207.395 281.635 353.11
Provisions45.8313.7940.7364.36160.22
Non-current loans from credit institutions581.75476.73380.78281.20171.89
Non-current liabilities total581.75476.73380.78281.20171.89
Current loans from credit institutions173.45202.85616.81858.201 672.29
Current trade creditors707.08333.97784.38698.87374.91
Current owed to participating2.093.390.383.123.34
Current owed to group member10.0211.0558.7759.9542.49
Short-term deferred tax liabilities176.7670.81115.98
Other non-interest bearing current liabilities1 419.811 150.054 211.252 584.473 510.33
Current liabilities total2 489.221 772.125 671.594 204.605 719.35
Balance sheet total (liabilities)8 275.267 455.8511 300.499 831.7911 404.57
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