Generer rapport
Ax V Phase One Holding III Aps
Roskildevej 39, 2000 Frederiksberg, CVR 40152660
Virksomhedsform
Anpartsselskab
Etableret
2019
Størrelse
Mikro
Ansatte
-
Omsætning
0
DKK
Bruttofortj.
-173.000
DKK
Primært resultat (EBIT)
-173.000
DKK
Årets resultat
-53.888.000
DKK
Egenkapital
420
MDKK
annonce
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Rang Årets resultat
Rang i branche
22.638/22.680
"Bund 10%"
Rang i Danmark
342.907/344.048
"Bund 10%"
Direktion top 3
Jesper Frydensberg Rasmussen 30 | Direktør |
Bestyrelse top 3
Christian Bamberger Bro 27 | Bestyrelsesformand |
Peter Nyegaard 14 | Bestyrelsesmedlem |
Lars Cordt 26 | Bestyrelsesmedlem |
Legale ejere top 3
50-66.66% | Axcel V K/S | DK |
20-24.99% | Atp Private Equity Partners Vi K/S | DK |
Tegningsregler
Selskabet tegnes af et bestyrelsesmedlem i forening med en direktør, eller af to bestyrelsesmedlemmer i forening eller af den samlede bestyrelse.
Stamoplysninger baseret på CVR
Navn | Ax V Phase One Holding III Aps |
CVR | 40152660 |
Adresse | Roskildevej 39, 2000 Frederiksberg |
Branche | Anden finansiel formidling undtagen forsikring og pensionsforsikring, i.a.n. [649900] |
Etableret | 01-01-2019 (5 år) |
Første regnskabsperiode | 01-01-2019 til 31-12-2019 |
Virksomhedsform | Anpartsselskab |
Antal ansatte | - |
Reklamebeskyttelse | Nej |
Revisor | Ey Godkendt Revisionspartnerselskab siden 12-07-2019 |
Regnskabsperiode | 01-01 til 31-12 |
Selskabskapital | 661.400 DKK 648.500 DKK (10-01-2020 - 14-10-2021) 500.590 DKK (03-10-2019 - 09-01-2020) 225.000 DKK (11-07-2019 - 02-10-2019) 50.000 DKK (01-01-2019 - 10-07-2019) |
Vedtægter seneste | 15-10-2021 |
Medlem af brancherne
- Anden finansiel formidling undtagen forsikring og pensionsforsikring, i.a.n.NACE6 indeholdende 23.763 virk.
- Anden finansiel formidling, undtagen forsikring og pensionsforsikringNACE3 indeholdende 24.150 virk.
- Pengeinstitut- og finansieringsvirksomhed undtagen forsikring og NACE2 indeholdende 149.412 virk.
- Pengeinstitut- og finansvirksomhed, forsikringNACE1 indeholdende 152.404 virk.
Formål
Selskabets formål er at drive virksomhed med anlægsinvestering, finansiering, industri, handel og anden i forbindelse hermed stående virksomhed.
Regnskab
2022 | 2021 | 2020 | |
---|---|---|---|
Valuta/enhed | 000' DKK | 000' DKK | 000' DKK |
Omsætning | 0 - | 0 - | 0 - |
Bruttofortjeneste | -173 - | -220 - | -10 - |
Årets resultat | -53.888 - | -41.330 - | -61.740 - |
Egenkapital | 420.064 -12% | 475.619 -6% | 508.552 +34% |
Balance | 421.196 -12% | 476.159 -7% | 509.571 -14% |
Ledelsesberetning
Group:
The year 2022 showed an increase in revenue of 2% compared to an expected increase in revenue of minimum 10%. The lower than expected increase was primarily caused by significant and unexpected market volatility and negative effects from supply chain disruptions. The 2022 result is considered satisfactory under the circumstances.
The Group's revenue amounted to DKK 580 million in 2022 and profit after tax amounted to DKK -68 million in 2022.
EBITDA for 2022 was DKK 127 million corresponding to 22% of revenue.
The Group employed an average of 340 employees in 2022.
The Group's balance sheet total amounted to DKK 1,357 million, of which current assets constitute 17%.
Equity in the Group amounted to DKK 533 million at 31 December 2022.
Parent:
The year 2022 shows profit after tax of DKK -68 million.
Management finds the result for 2022 satisfactory.
No facts or events occurred in the parent company during the financial year which are not reflected in the management report for the Group.
The year 2022 showed an increase in revenue of 2% compared to an expected increase in revenue of minimum 10%. The lower than expected increase was primarily caused by significant and unexpected market volatility and negative effects from supply chain disruptions. The 2022 result is considered satisfactory under the circumstances.
The Group's revenue amounted to DKK 580 million in 2022 and profit after tax amounted to DKK -68 million in 2022.
EBITDA for 2022 was DKK 127 million corresponding to 22% of revenue.
The Group employed an average of 340 employees in 2022.
The Group's balance sheet total amounted to DKK 1,357 million, of which current assets constitute 17%.
Equity in the Group amounted to DKK 533 million at 31 December 2022.
Parent:
The year 2022 shows profit after tax of DKK -68 million.
Management finds the result for 2022 satisfactory.
No facts or events occurred in the parent company during the financial year which are not reflected in the management report for the Group.
02-06-2023