Thor Holding Komplementar ApS
Nøgletal
- Afkastningsgrad
- –
- Egenkapitalforrentning
- 16,1 %
- Likviditetsgrad
- 385,9 %
- Soliditetsgrad
- 74,1 %
Resultat
| Regnskabsperiode | |
|---|---|
Omsætning | 4.034 |
Bruttoresultat | 1.345 |
Finansielle indtægter | 4 |
Finansielle omkostninger | 25 |
Skat af årets resultat | 291 |
Årets resultat | 1.033 |
Medarbejdere
| Regnskabsperiode | |
|---|---|
Gns. ansatte | 0 |
Balance
| Regnskabsperiode | |
|---|---|
Likvider | 4.615 |
Kortfristede aktiver | 8.649 |
Aktiver i alt | 8.649 |
Egenkapital | 6.408 |
Forpligtelser i alt | 2.241 |
Kortfristede forpligtelser | 2.241 |
Arbejdskapital
| Regnskabsperiode | |
|---|---|
Tilgodehavender fra salg og tjenesteydelser | 4.034 |
Leverandørgæld | 1.950 |
Kapital og udbytte
| Regnskabsperiode | |
|---|---|
Selskabskapital | 5.375 |
Overført resultat | 1.033 |
Højdepunkter fra årsrapporten
Forretning og udvikling
The company's purpose is to be complementary to Thor Holding P/S (Under frivillig likvidation). The owners decided in 20 January 2022 to liquidate the company as the purpose of the company no longer was present.
Financial review
The company's income statement for the year ended 31. december 2021 shows a profit of EUR 1.033, and the balance sheet at 31 December 2021 shows equity of EUR 6.408.
Risici og væsentlige forhold
No other events than mentioned above have occurred after the balance sheet date which could significantly affect the company's financial position.
Forpligtelser og sikkerhedsstillelser
As a general partner, the company is unlimitedly liable for all obligations in:
Thor Holding P/S (Under frivillig likvidation), CVR. 41882522. The equity in Thor Holding P/S (Under frivillig likvidation) is positive and no cash call is expected.