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NUUK MARINE CENTER ApS — Credit Rating and Financial Key Figures

CVR number: 11809022
Iggiaanut 6, 3905 Nuussuaq
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit7 029.798 563.507 706.736 587.079 147.08
Employee benefit expenses-5 869.87-5 822.39-5 454.76-5 730.00-6 169.78
Total depreciation- 673.18- 878.01- 858.33- 657.15- 573.89
EBIT486.741 863.111 393.63199.922 403.41
Other financial income223.9645.8983.8358.4933.44
Other financial expenses- 458.49- 550.09- 977.87- 959.15- 767.05
Pre-tax profit252.211 358.90499.59- 700.741 669.79
Income taxes-68.24- 358.62- 138.88172.27- 418.77
Net earnings183.971 000.28360.71- 528.471 251.02

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Machinery and equipment2 389.622 487.291 653.961 096.81655.82
Advance payments and construction in progress3 419.253 376.673 376.673 376.673 439.17
Tangible assets total5 808.875 863.975 030.644 473.494 094.99
Holdings in group member companies7 000.007 000.007 000.007 000.007 000.00
Investments total7 000.007 000.007 000.007 000.007 000.00
Long term receivables total
Finished products/goods10 404.1412 507.9712 307.6112 791.9012 350.39
Advance payments55.91417.37206.24353.36331.58
Inventories total10 460.0512 925.3412 513.8513 145.2612 681.96
Current trade debtors1 966.754 128.014 463.792 528.622 328.18
Current deferred tax assets215.775.70177.97182.07
Short term receivables total2 182.524 128.014 469.482 706.592 510.26
Cash and bank deposits1 315.813.8716.897.162.84
Cash and cash equivalents1 315.813.8716.897.162.84
Balance sheet total (assets)26 767.2529 921.1829 030.8627 332.4926 290.05

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital1 227.001 227.001 227.001 227.001 227.00
Retained earnings5 781.445 965.416 965.697 326.406 797.93
Profit of the financial year183.971 000.28360.71- 528.471 251.02
Shareholders equity total7 192.418 192.698 553.408 024.939 275.95
Provisions49.75
Non-current loans from credit institutions7 419.937 357.446 079.594 786.243 681.05
Non-current liabilities total7 419.937 357.446 079.594 786.243 681.05
Current loans from credit institutions6 589.938 941.287 854.158 070.856 825.92
Advances received44.30155.21109.99694.46208.05
Current trade creditors2 129.652 460.243 857.612 619.642 819.31
Current owed to participating142.93
Current owed to group member1 907.321 257.111 307.281 288.101 532.56
Short-term deferred tax liabilities92.94194.33422.88
Other non-interest bearing current liabilities1 340.781 414.531 074.521 848.281 524.34
Current liabilities total12 154.9214 321.3114 397.8714 521.3313 333.05
Balance sheet total (liabilities)26 767.2529 921.1829 030.8627 332.4926 290.05
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