IMK ERHVERVSSTØTTE FOND — Credit Rating and Financial Key Figures

CVR number: 18181002
Ahlmanns Alle 11, 2900 Hellerup
tel: 40525592
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales602.41619.80582.60671.70692.64
Change in stocks2 700.00- 860.003 170.00140.00
External services- 329.34- 168.54- 408.59- 295.92- 289.60
Gross profit2 973.07451.25- 685.993 545.78543.04
Employee benefit expenses- 405.90- 332.70- 335.50- 339.30- 344.40
Other operating expenses- 198.00- 153.00- 156.00- 156.00- 159.00
EBIT2 369.17-34.45-1 177.493 050.4839.64
Other financial income7 880.083 129.57604.272 056.811 858.10
Other financial expenses- 142.11-59.08-2 392.02- 276.30- 353.45
Pre-tax profit10 107.143 036.05-2 965.254 830.981 544.29
Income taxes-7.52- 231.9515.71-1 417.33- 312.01
Net earnings10 099.632 804.10-2 949.543 413.651 232.28

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters15 600.0015 600.0014 740.00
Buildings17 910.0018 050.00
Tangible assets total15 600.0015 600.0014 740.0017 910.0018 050.00
Investments total
Non-current loans receivable25 730.5230 179.9828 959.1930 235.6730 944.99
Non-current other receivables625.52
Long term receivables total26 356.0430 179.9828 959.1930 235.6730 944.99
Inventories total
Current other receivables403.53381.9548.3832.5746.58
Current deferred tax assets62.7858.5563.6260.9845.89
Short term receivables total466.31440.50112.0093.5592.48
Cash and bank deposits2 079.99981.63254.84353.01898.00
Cash and cash equivalents2 079.99981.63254.84353.01898.00
Balance sheet total (assets)44 502.3447 202.1144 066.0348 592.2249 985.46

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital36 685.0036 685.0036 685.0036 685.0036 685.00
Other reserves-5 097.41-2 293.31-5 242.85-1 829.20- 596.92
Retained earnings-10 099.63-2 804.102 949.54-3 413.65-1 232.28
Profit of the financial year10 099.632 804.10-2 949.543 413.651 232.28
Shareholders equity total31 587.5934 391.6931 442.1534 855.8036 088.08
Provisions3 213.003 066.002 922.004 160.004 211.00
Non-current loans from credit institutions9 169.009 169.009 169.009 169.009 169.00
Non-current liabilities total9 169.009 169.009 169.009 169.009 169.00
Current owed to group member94.79
Short-term deferred tax liabilities231.95111.32
Other non-interest bearing current liabilities437.96343.47532.88407.42406.06
Current liabilities total532.75575.42532.88407.42517.38
Balance sheet total (liabilities)44 502.3447 202.1144 066.0348 592.2249 985.46
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