SSCP Komplementar ApS

CVR42924008
Selskabsregnskab

Nøgletal

Opdateret 26. jun. 2026
Afkastningsgrad
Egenkapitalforrentning
22,8 %
Likviditetsgrad
158,7 %
Soliditetsgrad
37 %

Resultat

Regnskabsperiode
Omsætning
14.420
Bruttoresultat
4.477
Finansielle indtægter
2.215
Årets resultat
5.984

Medarbejdere

Regnskabsperiode
Gns. ansatte
0

Balance

Regnskabsperiode
Kortfristede aktiver
71.018
Aktiver i alt
71.018
Egenkapital
26.282
Forpligtelser i alt
44.736
Kortfristede forpligtelser
44.736

Kapital og udbytte

Regnskabsperiode
Selskabskapital
40.000
Overført resultat
-13.718

Højdepunkter fra årsrapporten

Officiel årsrapport · 2025

Forretning og udvikling

Hovedaktiviteter

The company's main activities consists of participation as general partner in the company SSCP Management P/S.

Risici og væsentlige forhold

Væsentlige begivenheder efter regnskabsperioden

No events have occurred after the balance sheet date to this date, which would influence the evaluation of this annual report.

Væsentlige begivenheder efter regnskabsperioden

No events have occurred after the balance sheet date to this date, which would influence the evaluation of this ​​annual report.

Forpligtelser og sikkerhedsstillelser

Eventualforpligtelser

The Entity participates in a Danish joint taxation arrangement where Scandinavian Shopping Center Partners ApSserves as the administration company. According to the joint taxation provisions of the Danish Corporation Tax Act, the Entity is therefore liable for income taxes etc. for the jointly taxed entities, and for obligations, if any, relating to the withholding of tax on interest, royalties and dividend for the jointly taxed entities. The jointly taxed entities' total known net liability under the joint taxation arrangement is disclosed in the administration company's financial statements.

Pantsætninger og sikkerhedsstillelser

6 Assets charged and collateral

The company is liable with its entire assets for the debt in SSCP Management P/S , Copenhagen. The obligations in​SSCP Management P/S amount to DKK 628,188 as of December 31, 2025, while the asset base amounts to DKK 869,652.

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