Cibicom Mobility ApS — Credit Rating and Financial Key Figures

CVR number: 29849943
Industriparken 35, 2750 Ballerup
kundeservice@cibicom.dk
tel: 38414141
www.cibicom.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit-1 709.97-1 305.97-3 580.97-4 608.72-4 783.03
Employee benefit expenses-3 010.49- 526.26- 468.01- 511.31- 526.55
Other operating expenses- 137.27
Total depreciation- 175.14- 171.26-5.63-5.63-5.63
EBIT-5 032.87-2 003.50-4 054.61-5 125.66-5 315.20
Other financial income37.184.9915.119.33
Other financial expenses-27.82-26.25-4.37-6.03-4.40
Pre-tax profit-5 023.52-2 029.75-4 053.99-5 116.58-5 310.28
Income taxes2 965.5316 145.991 833.37324.411 229.38
Net earnings-2 057.9914 116.24-2 220.63-4 792.17-4 080.90

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights73.9790.0084.3778.7473.12
Intangible assets total73.9790.0084.3778.7473.12
Machinery and equipment147.29
Tangible assets total147.29
Investments total915.951 118.631 118.63887.18887.18
Long term receivables total
Finished products/goods292.19417.98236.61116.61
Inventories total292.19417.98236.61116.61
Current trade debtors640.63335.41212.23161.3439.48
Prepayments and accrued income83.3170.9779.87995.251 003.56
Current other receivables0.1287.58173.09591.87626.17
Current deferred tax assets2 965.5316 145.9913 833.3711 470.9910 871.88
Short term receivables total3 689.5916 639.9514 298.5713 219.4512 541.09
Cash and bank deposits2 151.3717.60665.65215.40129.17
Cash and cash equivalents2 151.3717.60665.65215.40129.17
Balance sheet total (assets)7 270.3718 284.1616 403.8314 517.3913 630.55

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital5 000.105 000.105 000.105 000.105 000.10
Retained earnings- 552.83-2 610.8211 505.429 284.804 492.63
Profit of the financial year-2 057.9914 116.24-2 220.63-4 792.17-4 080.90
Shareholders equity total2 389.2816 505.5214 284.909 492.735 411.83
Provisions2 044.73
Non-current other liabilities211.6147.01
Non-current deferred tax liabilities48.0050.7052.15
Non-current liabilities total211.6147.0148.0050.7052.15
Current loans from credit institutions11.85
Current trade creditors828.67236.71285.19229.22162.28
Current owed to group member1 879.791 095.241 518.574 511.717 962.70
Other non-interest bearing current liabilities1 454.4657.47-2 018.5344.3441.60
Accruals and deferred income506.55330.35240.98188.70
Current liabilities total4 669.471 731.6226.204 973.978 166.58
Balance sheet total (liabilities)7 270.3718 284.1616 403.8314 517.3913 630.55
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