Generer rapport
The Mark Opco Aps
Kalvebod Brygge 39, 5, 1560 København V, CVR 40536205
Virksomhedsform
Anpartsselskab
Etableret
2019
Størrelse
Mikro
Ansatte
-
Omsætning
-
DKK
Bruttofortj.
-1.119.780
DKK
Primært resultat (EBIT)
-1.138.622
DKK
Årets resultat
-1.138.612
DKK
Egenkapital
-2.550.328
DKK
annonce
Flere nøgletal og analyser?
Med en Bisbase Premium konto får du flere nøgletal for både virksomheder, koncerner og brancher samt adgang til eksklusive brancher indeholdende virksomheder nøje sammensat af eksperter. Og vil du lave dine egne analyser kan du også det! Det tager få minutter at få adgang - og det behøver ikke at koste dig noget!
Rang Årets resultat
Rang i branche
2.541/2.801
"Bund 10%"
Rang i Danmark
323.155/342.443
"Bund 10%"
Direktion top 3
Anuj Kumar Mittal 4 | Direktør |
Bestyrelse top 3
Meta Sophia Beemer 11 | Bestyrelsesformand |
Anuj Kumar Mittal 4 | Bestyrelsesmedlem |
Jean.Baptiste Garcia 10 | Bestyrelsesmedlem |
Legale ejere top 3
Tegningsregler
Selskabet tegnes af 2 bestyrelsesmedlemmer i forening eller af den samlede bestyrelse.
Stamoplysninger baseret på CVR
Navn | The Mark Opco Aps |
Binavne | The Mark Aps Vis mere |
CVR | 40536205 |
Adresse | Kalvebod Brygge 39, 5, 1560 København V |
Branche | Administration af fast ejendom på kontraktbasis [683210] |
Etableret | 19-05-2019 (4 år) |
Første regnskabsperiode | 19-05-2019 til 31-12-2019 |
Virksomhedsform | Anpartsselskab |
Antal ansatte | - |
Reklamebeskyttelse | Nej |
Revisor | Beierholm, Statsautoriseret Revisionspartnerselskab siden 19-05-2019 |
Regnskabsperiode | 01-01 til 31-12 |
Selskabskapital | 40.000 DKK |
Vedtægter seneste | 29-05-2020 |
Medlem af brancherne
- Administration af fast ejendom på kontraktbasisNACE6 indeholdende 1.816 virk.
- Virksomhed i forbindelse med fast ejendom på honorar- eller kontraktbasisNACE3 indeholdende 6.717 virk.
- Fast ejendomNACE2 indeholdende 68.887 virk.
- Fast ejendomNACE1 indeholdende 68.887 virk.
Formål
Selskabets formål er at drifte fast ejendom og på anden vis beskæftige sig med fast ejendom samt hermed beslægtet virksomhed.
Regnskab
2023 | 2022 | 2021 | |
---|---|---|---|
Valuta/enhed | 000' DKK | 000' DKK | 000' DKK |
Omsætning | - - | - - | - - |
Bruttofortjeneste | -1.120 - | -993 - | -479 - |
Årets resultat | -1.139 - | -885 - | -490 - |
Egenkapital | -2.550 - | -1.412 - | -527 - |
Balance | 325 +30% | 251 -46% | 465 +235% |
Ledelsesberetning
Development in activities and financial affairs
The income statement for the period 01.01.23 - 31.12.23 shows a profit/loss of DKK -1,138,612 against DKK -884,585 for the period 01.01.22 - 31.12.22. The balance sheet shows equity of DKK -2,550,328.
Information on going concern
The company realised a loss of DKK 1.139k in 2023 and the equity is reduced to DKK -2.550k as of 31.12.23. The planned activities and operation for 2024 is dependent on further capital. Our investors have provided us with a Letter of Support for the period of at least 12 months after the date of the approval of the financial statements.
Based on this the company has determined that the use of the going concern assumption is warranted. Management in confident, based on cashflow forecasts and the willingness from our investors to support us for the next twelve months that we will be able to meet the company’s goals and therefore the financial statements are prepared on the assumption that the company is a going concern.
The income statement for the period 01.01.23 - 31.12.23 shows a profit/loss of DKK -1,138,612 against DKK -884,585 for the period 01.01.22 - 31.12.22. The balance sheet shows equity of DKK -2,550,328.
Information on going concern
The company realised a loss of DKK 1.139k in 2023 and the equity is reduced to DKK -2.550k as of 31.12.23. The planned activities and operation for 2024 is dependent on further capital. Our investors have provided us with a Letter of Support for the period of at least 12 months after the date of the approval of the financial statements.
Based on this the company has determined that the use of the going concern assumption is warranted. Management in confident, based on cashflow forecasts and the willingness from our investors to support us for the next twelve months that we will be able to meet the company’s goals and therefore the financial statements are prepared on the assumption that the company is a going concern.
11-03-2024