AGERAS A/S — Credit Rating and Financial Key Figures

CVR number: 33966369
Fiolstræde 17 B, 1171 København K
info@ageras.com
tel: 77348081
www.ageras.com

Income statement (kDKK)

2018
2019
2020
2021
2022
Fiscal period length1212121212
Net sales
Other operating income5 378.007 142.00
Purchases during the financial year-5.00
External services-7 233.00-8 459.005 176.00
Gross profit11 639.00- 957.00-1 860.00-1 317.005 176.00
Employee benefit expenses-19 526.00-6 727.00-3 070.00-5 471.00-9 418.00
Other operating expenses-8 862.00-38 643.00-39 136.00
Total depreciation-3 524.00-9 646.00-6 812.00-8 236.00-19 037.00
EBIT-11 411.00-17 330.00-20 604.00-53 667.002 938.00
Other financial income59.00- 428.00129.00409.00
Other financial expenses-2 791.00-2 086.00-6 479.00-22 472.00-43 246.00
Net income from associates (fin.)-1 875.00-13 756.00-37 431.00-96 631.00- 117 517.00
Pre-tax profit-16 018.00-33 600.00-64 385.00- 172 361.00- 182 166.00
Income taxes1 317.001 448.00-1 448.00- 127.001 682.00
Net earnings-14 701.00-32 152.00-65 833.00- 172 488.00- 180 484.00

Assets (kDKK)

2018
2019
2020
2022
Development expenditure18 409.0021 345.0021 354.00
Intangible assets total18 409.0021 345.0021 354.00
Buildings639.00364.00166.00
Machinery and equipment17.00131.00133.00
Other tangible assets5 776.004 836.00
Tangible assets total656.006 271.005 135.00
Holdings in group member companies2 884.0064 463.0078 003.00
Investments total2 884.0064 463.0078 003.00
Long term receivables total
Inventories total
Current trade debtors1 599.001 724.004 227.00
Current amounts owed by group member comp.4 178.0023 653.006 180.00
Prepayments and accrued income548.00607.00204.00
Current other receivables7 500.001 173.00
Current deferred tax assets1 317.001 448.00
Short term receivables total15 142.0028 605.0010 611.00
Cash and bank deposits1 617.001 990.002 631.0048 254.00
Cash and cash equivalents1 617.001 990.002 631.0048 254.00
Balance sheet total (assets)38 708.00122 674.00117 734.0048 254.00

Equity and liabilities (kDKK)

2018
2019
2020
2021
2022
Share capital569.00877.00949.00199 494.00294 858.00
Other reserves14 170.0017 106.0017 115.00
Retained earnings6 642.0062 944.0068 281.00172 488.00180 484.00
Profit of the financial year-14 701.00-32 152.00-65 833.00- 172 488.00- 180 484.00
Shareholders equity total6 680.0048 775.0020 512.00199 494.00294 858.00
Provisions674.0021 270.008 624.00
Non-current loans from credit institutions18 788.0020 556.0074 697.00
Non-current leasing loans3 946.003 502.00
Non-current liabilities total18 788.0024 502.0078 199.00
Current loans from credit institutions9 482.002 521.002 132.00
Current trade creditors1 570.007 145.002 907.00
Current owed to group member84.001 179.004 412.00
Other non-interest bearing current liabilities1 430.0017 282.00948.00
Current liabilities total12 566.0028 127.0010 399.00
Balance sheet total (liabilities)38 708.00122 674.00117 734.00199 494.00294 858.00
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