JAMG DENMARK ApS
Nøgletal
- Afkastningsgrad
- –
- Egenkapitalforrentning
- -382 %
- Likviditetsgrad
- 122,2 %
- Soliditetsgrad
- 18,2 %
Resultat
| Regnskabsperiode | |
|---|---|
Bruttoresultat | -69.643 |
Skat af årets resultat | 2.800 |
Årets resultat | -57.360 |
Balance
| Regnskabsperiode | |
|---|---|
Likvider | 82.544 |
Kortfristede aktiver | 82.544 |
Aktiver i alt | 82.544 |
Egenkapital | 15.017 |
Forpligtelser i alt | 67.527 |
Kortfristede forpligtelser | 67.527 |
Kapital og udbytte
| Regnskabsperiode | |
|---|---|
Selskabskapital | 25.450.000 |
Overført resultat | -25.434.983 |
Højdepunkter fra årsrapporten
Forretning og udvikling
The Company's activity is to own shares in domestic or foreign companies.
Development in activities and financesThe loss for the year represents 57 t.DKK. Equity at year end represents 18 t.DKK.
On 22 December 2020, the company's parent company Terana SAS made a remission of debt of DKK 4,768,733 with a view to a subsequent implementation of a voluntary liquidation of the company.
Risici og væsentlige forhold
1 Going concernAs of 08.03.2021, the company has entered into voluntary liquidation in accordance with the rules on winding- up of solvent companies , by decision of the extraordinary general meeting on the same day.
As of 08.03.2021, the company has entered voluntary liquidation in accordance with the rules on winding-up of solvent companies, by decision of the extraordinary general meeting on the same day.
Se op til 9 års regnskabshistorik ved at oprette en gratis bruger
Opret gratis bruger