WTCC ApS
Nøgletal
- Afkastningsgrad
- –
- Egenkapitalforrentning
- 2.860,9 %
- Likviditetsgrad
- 835,1 %
- Soliditetsgrad
- 88 %
Resultat
| Regnskabsperiode | |
|---|---|
Bruttoresultat | 452.000 |
Finansielle omkostninger | 129.000 |
Skat af årets resultat | 0 |
Årets resultat | 117.985.000 |
Balance
| Regnskabsperiode | |
|---|---|
Likvider | 2.226.000 |
Kortfristede aktiver | 4.685.000 |
Aktiver i alt | 4.685.000 |
Egenkapital | 4.124.000 |
Forpligtelser i alt | 561.000 |
Kortfristede forpligtelser | 561.000 |
Arbejdskapital
| Regnskabsperiode | |
|---|---|
Anden kortfristet gæld | 39.000 |
Kapital og udbytte
| Regnskabsperiode | |
|---|---|
Selskabskapital | 400.000 |
Overført resultat | 3.724.000 |
Højdepunkter fra årsrapporten
Forretning og udvikling
The Company's purpose is to acquire holdings in the subsidiaries Copenhagen Towers II P/S and Komplementarselskabet WTCC II A/S. The Company has been involved in the construction of stages 1 and 2 of the Copenhagen Towers project.
During the year the subsidiary secured a significant gain in connection with the sale of the office-buildings to an external party.
The income statement for 2019 shows a profit of DKK 117,985 thousand against a profit of DKK 1,013 thousand last year, and the balance sheet at 31 December 2019 shows equity of DKK 4,124 thousand.
Risici og væsentlige forhold
The COVID-19 outbreak has had a significant impact on the world economy in the beginning of 2020. The COVID-19 outbreak has no effect on the Company.
Furthermore, no other significant events have occurred after the balance date that materially affect the financial statements at 31 December 2019.
Forpligtelser og sikkerhedsstillelser
The Company has not provided any security or other collateral in assets at 31 December 2019.
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