Be Creative ApS

CVR39764261
Company financials

Key figures

Updated 30 Jun 2026
Return on assets
–
Return on equity
84.4%
Current ratio
3,953.8%
Equity ratio
98.9%

Profit and loss

Reporting period
Gross profit
-42,038
Finance income
611,464
Finance expenses
70,958
Tax expense
113,563
Profit/loss for the year
47,760,238

Employees

Reporting period
Avg. employees
0

Balance sheet

Reporting period
Cash and cash equivalents
19,437,996
Current assets
23,859,147
Non-current assets
33,336,589
Total assets
57,195,736
Equity
56,592,288
Liabilities
603,448
Current liabilities
603,448

Working capital

Reporting period
Other current receivables
3,426,140
Trade payables
10,375

Capital and dividend

Reporting period
Contributed capital
50,000
Retained earnings
56,462,888
Proposed dividend recognised in equity
79,400

Investments and assets

Reporting period
Short-term investments
995,011
Long-term investments and receivables
33,336,589

Annual report highlights

Official annual report · 2025

Business and development

Primary activities

Selskabets formål er at eje aktier og anparter, at fungere som holdingselskab, investeringsvirksomhed, kapitalanbringelse og anden formueforvaltning og hermed efter ledelsens skøn beslægtet virksomhed.

Development in activities and financial affairs

Selskabets resultatopgørelse for 2025 udviser et overskud på 47.760.238 kr. mod et overskud på 4.064.621 kr. sidste år, og selskabets balance pr. 31. december 2025 udviser en egenkapital på 56.592.288 kr.

I regnskabsåret har selskabet afhændet sine kapitalandele i ADWISE MEDIA A/S. Efterfølgende har selskabet foretaget en investering i kapitalandele i NEXA Invest ApS. Salget og købet af kapitalandelene er indregnet i resultatopgørelsen og balancen i overensstemmelse med selskabets anvendte regnskabspraksis.

Risks and material matters

Significant events after the reporting period

Der er ikke efter balancedagen indtruffet begivenheder af væsentlig betydning for virksomhedens finansielle stilling.

Commitments and security

Assets pledged as security

Virksomheden har ikke stillet pant eller anden sikkerhed i aktiver pr. 31. december 2025.

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