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IMG Play ApS — Credit Rating and Financial Key Figures

CVR number: 37000728
Rahbeks Alle 21, 1801 Frederiksberg C
contact@imgplay.com
tel: 70273060
www.imgplay.com
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit3 739.685 701.114 658.015 326.636 419.20
Employee benefit expenses-2 499.36-3 063.47-3 376.08-3 755.57-3 728.29
Total depreciation-28.37-28.37-28.37-22.37-76.73
EBIT1 211.952 609.261 253.571 548.682 614.17
Other financial income3.5313.44
Other financial expenses-97.87- 335.81-22.95-29.40-9.80
Income from other inv. held as non-curr. assets96.25- 274.20300.30350.29101.75
Net income from associates (fin.)81.3478.4964.56
Pre-tax profit1 210.341 999.251 615.791 961.502 770.68
Income taxes- 106.40- 535.42- 431.73- 363.20- 612.25
Net earnings1 103.941 463.831 184.061 598.302 158.43

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure108.7395.1481.5567.96
Intangible assets total108.7395.1481.5567.96
Buildings12.006.00
Machinery and equipment35.1226.3417.568.78
Tangible assets total47.1232.3417.568.78
Holdings in group member companies401.59281.85360.96455.60498.21
Investments total401.59281.85360.96455.60498.21
Non-current loans receivable1 688.331 811.781 859.082 757.013 249.06
Non-current other receivables13.8530.0072.0074.5279.83
Long term receivables total1 702.181 841.781 931.082 831.533 328.89
Inventories total
Current trade debtors777.131 485.88720.76982.531 383.27
Current amounts owed by group member comp.321.06481.85484.08468.08138.08
Prepayments and accrued income13.8530.000.23
Current other receivables40.218.763.140.882.00
Short term receivables total1 152.262 006.491 208.211 451.491 523.35
Cash and bank deposits791.10650.611 872.791 032.39867.94
Cash and cash equivalents791.10650.611 872.791 032.39867.94
Balance sheet total (assets)4 202.984 908.215 472.145 847.756 218.39

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital50.0042.5042.5042.5042.50
Shares repurchased300.001 000.001 000.001 000.001 000.00
Other reserves474.02343.56408.92491.08463.69
Retained earnings16.33250.73649.20751.091 376.78
Profit of the financial year1 103.941 463.831 184.061 598.302 158.43
Shareholders equity total1 944.293 100.623 284.683 882.975 041.41
Provisions27.5429.3621.8016.88
Non-current liabilities total
Current loans from credit institutions0.56
Current trade creditors1 447.01769.131 186.951 103.56300.80
Other non-interest bearing current liabilities784.151 008.53978.71844.33876.18
Current liabilities total2 231.161 778.222 165.661 947.901 176.98
Balance sheet total (liabilities)4 202.984 908.215 472.145 847.756 218.39
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