CODE3 ApS
CVRCVR number28511418
Company financials
Key figures
Updated 18 Jun 2026
- Return on assets
- -4.7%
- Return on equity
- -8.7%
- Current ratio
- 278.5%
- Equity ratio
- 64.1%
Profit and loss
| Reporting period | |
|---|---|
Gross profit | -44,944 |
Operating profit | -44,944 |
Finance income | 127 |
Finance expenses | 8,935 |
Profit/loss for the year | -53,752 |
Employees
| Reporting period | |
|---|---|
Avg. employees | 1 |
Balance sheet
| Reporting period | |
|---|---|
Cash and cash equivalents | 169,084 |
Current assets | 960,197 |
Non-current assets | 0 |
Total assets | 960,197 |
Equity | 615,400 |
Liabilities | 344,797 |
Current liabilities | 344,797 |
Working capital
| Reporting period | |
|---|---|
Inventories | 0 |
Trade receivables | 791,113 |
Other current receivables | 0 |
Trade payables | 38,031 |
Capital and dividend
| Reporting period | |
|---|---|
Contributed capital | 168,000 |
Retained earnings | 447,400 |
Investments and assets
| Reporting period | |
|---|---|
Long-term investments and receivables | 0 |
Property, plant and equipment | 0 |
Annual report highlights
Official annual report · 2025
Business and development
Primary activities
Virksomhedens væsentligste aktiviteter består i optimering og integrering af forretningssystemer såvel kommercielt som systemteknisk, inden for primært ISP- og telebranchen, med henblik på forbedring af kundernes konkurrenceevne.
Commitments and security
Contingent liabilities
SambeskatningSelskabet hæfter solidarisk med moderselskabet BETTM ApS for danske selskabsskatter og kildeskatter på udbytte og royalties inden for sambeskatningskredsen. Skyldige selskabsskatter og kildeskatter inden for sambeskatningskredsen er oplyst i moderselskabets årsregnskab.
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