QuantumCell ApS

CVR45663205
Selskabsregnskab

Nøgletal

Opdateret 9. jun. 2026
Afkastningsgrad
-27,9 %
Egenkapitalforrentning
-29,7 %
Likviditetsgrad
816,4 %
Soliditetsgrad
87,8 %

Resultat

Regnskabsperiode
Bruttoresultat
-8.168.872
Driftsresultat
-8.781.173
Finansielle indtægter
133.166
Finansielle omkostninger
771.406
Skat af årets resultat
-1.227.017
Årets resultat
-8.192.396

Medarbejdere

Regnskabsperiode
Gns. ansatte
1
Personaleomkostninger
612.301 kr.

Balance

Regnskabsperiode
Likvider
29.244.272
Kortfristede aktiver
31.312.888
Langfristede aktiver
111.632
Aktiver i alt
31.424.520
Egenkapital
27.589.252
Forpligtelser i alt
3.835.268
Kortfristede forpligtelser
3.835.268

Arbejdskapital

Regnskabsperiode
Andre kortfristede tilgodehavender
762.553
Leverandørgæld
2.164.512

Kapital og udbytte

Regnskabsperiode
Selskabskapital
638.100
Overført resultat
26.951.152

Investeringer og aktiver

Regnskabsperiode
Langfristede investeringer og tilgodehavender
111.632

Højdepunkter fra årsrapporten

Officiel årsrapport · 2025

Forretning og udvikling

Hovedaktiviteter

The principal activities of the Company is to conduct research, development, and commercialization of pharmaceuticals and other related business activities.

The Company is incorporated 7 June 2025 and hence the financial statements for 2025 covers the period 7 June - 31 December 2025.

During 2025, the Company incorporated a US subsidiary, QuantumCell Inc.

Udvikling i aktiviteter og økonomiske forhold

The income statement for 2025 shows a loss of DKK 8,192,396, and the balance sheet at 31 December 2025 shows equity of DKK 27,589,252.

During 2025, the Company completed capital increases of 556 thousand shares and total proceeds of DKK 36,458 thousand before transactions costs, DKK 758 thousand, which has been offset directly through retained earnings.

Risici og væsentlige forhold

Usikkerhed om fortsat drift

Management has considered whether conditions and events exist that, when considered inaggregate, raise significant doubt about the Company’s ability to continue as a going concern through oneyear from the balance sheet date.

Cash at 31 December 2025 amount to DKK 29,244 thousand. The Company’s current liquidity is expected to fund planned activities into July 2026; however, additional financing will be required to support operations beyond. Management and the Board are pursuing funding options to address this. As these plans are subject to factors outside the Company’s control, a material uncertainty exists that may cast significant doubt on the Company’s ability to continue as a going concern.

The accompanying financial statements do not include any adjustments that might result from the outcome of this uncertainty. Therefore, the financial statements have been prepared on the assumption that the company will continue as a going concern and with the expectation of realizing assets and settling liabilities and commitments in the normal course of business.

Usædvanlige forhold, der påvirker indregning eller måling

Going concern

Management has considered whether conditions and events exist that, when considered inaggregate, raise significant doubt about the Company’s ability to continue as a going concern through oneyear from the balance sheet date.…

Væsentlige begivenheder efter regnskabsperioden

No events materially affecting the Company's financial position have occurred subsequent to the financial year-end.

Forpligtelser og sikkerhedsstillelser

Aktiver stillet til sikkerhed

The Company has not provided any security or other collateral in assets at 31 December 2025.