SMASH!BANG!POW! ApS — Credit Rating and Financial Key Figures

CVR number: 33072635
Knabrostræde 3 A, 1210 København K
info@smashbangpow.dk
smashbangpow.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit- 513.24847.3413 903.63-2 221.193 333.08
Employee benefit expenses-3 560.88-4 561.71-9 502.57-8 513.92-9 568.30
Other operating expenses-91.80
Total depreciation-20.00-20.00-28.83-36.85-23.51
EBIT-4 094.12-3 734.374 372.22-10 771.96-6 350.53
Other financial income0.3114.2141.481 270.75
Other financial expenses150.11- 303.98- 564.48- 512.03- 334.42
Pre-tax profit- 761.08-4 038.353 821.95-11 242.51-5 414.20
Income taxes154.79872.55- 862.25-1 361.77- 229.18
Net earnings- 606.29-3 165.802 959.70-12 604.29-5 643.38

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment66.6746.67102.0665.2141.70
Tangible assets total66.6746.67102.0665.2141.70
Participating interests25.0525.05
Investments total176.15175.66323.22362.40514.89
Long term receivables total
Inventories total
Current trade debtors5.241 027.541 357.772 576.113 782.26
Prepayments and accrued income2 891.024 690.812 456.872 679.986 041.43
Current other receivables91.164.48350.301 940.941 222.66
Current deferred tax assets1 585.392 457.941 595.70233.924.74
Short term receivables total4 572.818 180.775 760.637 430.9511 051.08
Cash and bank deposits3 432.3089 382.1222 076.514 723.60125 410.12
Cash and cash equivalents3 432.3089 382.1222 076.514 723.60125 410.12
Balance sheet total (assets)8 247.9297 785.2128 262.4212 582.16137 017.80

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital80.0080.0080.0080.0080.00
Retained earnings-4 604.60-5 211.01-8 376.81-5 417.10-18 021.39
Profit of the financial year- 606.29-3 165.802 959.70-12 604.29-5 643.38
Shareholders equity total-5 130.89-8 296.81-5 337.10-17 941.39-23 584.77
Non-current owed to group member10 783.83
Non-current liabilities total10 783.83
Current loans from credit institutions0.8424.7610.81
Advances received4 615.17103 376.9717 214.0518 105.68157 211.96
Current trade creditors53.09725.947 631.91552.112 227.17
Current owed to participating7 636.505 638.43
Other non-interest bearing current liabilities1 073.211 954.353 104.331 081.941 163.44
Current liabilities total13 378.81106 082.0233 599.5219 739.73160 602.57
Balance sheet total (liabilities)8 247.9297 785.2128 262.4212 582.16137 017.80
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