Bodilhaven ApS

CVR41549335
Selskabsregnskab

Nøgletal

Opdateret 26. maj 2026
Afkastningsgrad
–
Egenkapitalforrentning
0,2 %
Likviditetsgrad
71,7 %
Soliditetsgrad
15,4 %

Resultat

Regnskabsperiode
Bruttoresultat
5.898.012
Finansielle indtægter
7.210
Finansielle omkostninger
5.870.337
Skat af årets resultat
0
Årets resultat
34.885

Medarbejdere

Regnskabsperiode
Gns. ansatte
0

Balance

Regnskabsperiode
Likvider
1.628.716
Kortfristede aktiver
1.848.571
Langfristede aktiver
138.781.733
Aktiver i alt
140.630.304
Egenkapital
21.673.315
Forpligtelser i alt
118.956.989
Kortfristede forpligtelser
2.577.304

Arbejdskapital

Regnskabsperiode
Andre kortfristede tilgodehavender
67.640
Leverandørgæld
177.849

Kapital og udbytte

Regnskabsperiode
Selskabskapital
40.001
Overført resultat
21.633.314

Investeringer og aktiver

Regnskabsperiode
Materielle anlægsaktiver
138.781.733

Højdepunkter fra årsrapporten

Officiel årsrapport · 2025

Forretning og udvikling

Hovedaktiviteter

The Companys key activity is to buy, sell and rent out investment property and other related activities considered appropriate by the board of directors.

Forpligtelser og sikkerhedsstillelser

Eventualforpligtelser

Other contingent liabilities

The group companies are jointly and severally liable for tax on the jointly taxed incomes etc of the Group. The total amount of corporation tax payable is disclosed in the Annual Report of NSF III Denmark Advisory ApS, which is the management company of the joint taxation purposes. Moreover, the group companies are jointly and severally liable for Danish withholding taxes by way of dividend tax, tax on royalty payments and tax on unearned income. Any subsequent adjustments of corporation taxes and withholding taxes may increase the Company's liability.

Aktiver stillet til sikkerhed

Charges and securityThe following assets have been placed as security with mortgage credit institutes:

Land and buildings with a carrying amount of…

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