LOOP A/S

CVR29842507
Company financials

Key figures

Updated 16 Mar 2026
Return on assets
38.9%
Return on equity
43.8%
Current ratio
416.9%
Equity ratio
78.4%

Profit and loss

Reporting period
Gross profit
15,604,811
Operating profit
6,518,456
Finance income
188,991
Finance expenses
57,676
Tax expense
1,477,426
Profit/loss for the year
5,757,578

Employees

Reporting period
Avg. employees
10
Personnel costs
7,734,108 DKK

Balance sheet

Reporting period
Cash and cash equivalents
7,002,474
Current assets
13,644,266
Non-current assets
3,133,517
Total assets
16,777,783
Equity
13,147,256
Liabilities
3,630,527
Current liabilities
3,272,983

Working capital

Reporting period
Trade receivables
1,109,593
Other current receivables
2,202,034
Trade payables
610,769

Capital and dividend

Reporting period
Contributed capital
1,000,000
Retained earnings
12,142,186
Proposed dividend recognised in equity
0

Investments and assets

Reporting period
Short-term investments
44,000
Other securities
44,000
Long-term investments and receivables
1,294,016
Property, plant and equipment
1,832,996

Annual report highlights

Official annual report · 2025

Business and development

Primary activities

Selskabets væsentligste aktiviteter er at udvikle fitnesskonceptet LOOP. Derudover fungerer selskabet som franchisegiver overfor franchisetagere, som driver LOOP centrene.

Development in activities and financial affairs

Resultatet for 2025 er på kr. 5.757.578, og der er tale om et tilfredsstillende resultat.

Året 2025 i hovedtræk:…

Risks and material matters

Significant events after the reporting period

Betydningsfulde begivenheder, indtruffet efter regnskabsårets afslutningDer er ikke efter regnskabsårets afslutning indtruffet begivenheder af væsentlig betydning for selskabets finansielle stilling.

Commitments and security

Contingent liabilities

Hæftelse i sambeskatningenKoncernens danske selskaber hæfter solidarisk for skat af koncernens sambeskattede indkomst og for eventuelle kildeskatter såsom udbytteskat mv.

Skyldig skat af koncernens sambeskattede indkomst udgør 87 tkr. pr. balancedagen.…

Assets pledged as security

10 | Pantsætninger og sikkerhedsstillelser

Selskabet har kautioneret for Pure Equipment A/S' gæld til pengeinstitut. Gælden udgør 0 tkr. pr. 31. december 2025. Endvidere har selskabet afgivet erklæring om at sikre likviditet til driften i Pure Equipment A/S.

Selskabet har kautioneret for Franchisekomiteen ApS' gæld til pengeinstitut. Gælden udgør 0 tkr. pr. 31. december 2025.

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