CIC Operations København ApS — Credit Rating and Financial Key Figures

CVR number: 42519332
Banegårdspladsen 4, 1570 København V
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
Fiscal period length12121212
Net sales
Gross profit264.585 447.115 913.926 352.50
Employee benefit expenses- 896.61-3 849.54-3 856.13-3 152.30
Total depreciation-45.46- 318.66- 362.54- 299.82
EBIT- 677.481 278.911 695.242 900.39
Other financial income0.16210.88276.35176.15
Other financial expenses-91.09- 180.01- 281.62-95.15
Pre-tax profit- 768.421 309.791 689.982 981.38
Income taxes- 124.95- 384.79- 612.91
Net earnings- 768.421 184.841 305.182 368.48

Assets (kDKK)

2021
2022
2023
2024
Intangible rights58.5946.2633.9221.59
Intangible assets total58.5946.2633.9221.59
Buildings575.45701.47544.90372.43
Machinery and equipment312.55257.22120.8778.19
Tangible assets total887.99958.68665.77450.62
Investments total1 000.004 250.00
Non-current loans receivable41.8641.8641.86
Long term receivables total41.8641.8641.86
Raw materials and consumables40.8762.8938.88
Finished products/goods41.27
Inventories total41.2740.8762.8938.88
Current trade debtors0.85169.85410.41264.27
Current amounts owed by group member comp.0.56240.475 317.504 602.70
Prepayments and accrued income562.29545.38666.32738.12
Current other receivables268.65405.42500.22418.35
Current deferred tax assets163.17129.48
Short term receivables total832.351 361.127 057.626 152.92
Cash and bank deposits749.481 688.59369.36952.02
Cash and cash equivalents749.481 688.59369.36952.02
Balance sheet total (assets)3 569.698 387.378 231.427 657.89

Equity and liabilities (kDKK)

2021
2022
2023
2024
Share capital40.0040.0040.0040.00
Retained earnings- 768.42416.421 721.61
Profit of the financial year- 768.421 184.841 305.182 368.48
Shareholders equity total- 728.42456.421 761.614 130.08
Provisions35.49
Non-current owed to group member2 455.24
Non-current liabilities total2 455.24
Current loans from credit institutions745.90
Advances received29.5963.57167.18
Current trade creditors677.863 760.103 412.892 012.11
Current owed to participating4.626.256.25
Current owed to group member168.063 771.00210.87
Short-term deferred tax liabilities93.39595.79622.18
Other non-interest bearing current liabilities246.42235.132 180.44726.33
Current liabilities total1 842.867 895.466 469.823 527.80
Balance sheet total (liabilities)3 569.698 387.378 231.427 657.89
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