Copenhagen Nanosystems A/S — Credit Rating and Financial Key Figures

CVR number: 37293903
Hørmarken 2, 3520 Farum
info@cphnano.com
tel: 36992746
www.cphnano.com
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit-70.54818.09705.5479.93- 810.70
Employee benefit expenses-1 382.50-3 673.05-4 011.75-2 869.57-1 738.77
Total depreciation-42.27- 101.37-93.03-53.09-55.14
EBIT-1 495.32-2 956.32-3 399.25-2 842.73-2 604.61
Other financial income0.07
Other financial expenses- 111.80- 176.86- 146.53- 340.46- 303.41
Pre-tax profit-1 607.11-3 133.18-3 545.77-3 183.13-2 908.02
Income taxes352.191 091.21699.19737.23573.22
Net earnings-1 254.93-2 041.97-2 846.59-2 445.89-2 334.80

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure3 672.224 569.105 738.897 255.418 236.95
Intangible assets total3 672.224 569.105 738.897 255.418 236.95
Buildings12.428.732.57
Machinery and equipment249.25203.00158.42111.5058.92
Tangible assets total249.25215.41167.15114.0758.92
Investments total179.65183.24136.89139.29
Long term receivables total
Finished products/goods75.00443.17239.33203.50
Inventories total75.00443.17239.33203.50
Current trade debtors0.00250.86623.77319.2480.43
Prepayments and accrued income125.0021.2716.32
Current other receivables291.36154.36317.37182.82259.23
Current deferred tax assets931.83764.121 463.31945.901 030.93
Short term receivables total1 348.191 169.342 425.711 464.271 370.60
Cash and bank deposits1 207.161 476.49
Cash and cash equivalents1 207.161 476.49
Balance sheet total (assets)6 476.826 208.5010 434.659 209.9610 009.25

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital61.1161.1163.12400.00423.19
Share premium account5 506.075 506.076 737.0110 145.4212 538.47
Other reserves2 864.333 418.114 476.335 659.226 424.82
Retained earnings-4 254.12-6 062.82-9 163.02-13 192.49-15 833.42
Profit of the financial year-1 254.93-2 041.97-2 846.59-2 445.89-2 334.80
Shareholders equity total2 922.47880.50- 733.14566.261 218.26
Provisions813.56
Non-current loans from credit institutions2 129.734 097.214 062.545 872.456 364.66
Non-current liabilities total2 129.734 097.214 062.545 872.456 364.66
Current loans from credit institutions100.00324.43110.76522.54290.40
Advances received5 819.34960.00880.00
Current trade creditors1.97432.20818.27925.861 000.68
Current owed to participating74.6074.60108.84218.93162.64
Other non-interest bearing current liabilities434.49399.56248.05143.9392.61
Current liabilities total611.061 230.797 105.252 771.262 426.33
Balance sheet total (liabilities)6 476.826 208.5010 434.659 209.9610 009.25
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