Max Flex ApS
CVRCVR number40434372Under konkurs
Company financials
Key figures
Updated 13 Nov 2025
- Return on assets
- 17.4%
- Return on equity
- 49.2%
- Current ratio
- 100.2%
- Equity ratio
- 22.8%
Profit and loss
| Reporting period | |
|---|---|
Gross profit | 413,500 |
Operating profit | 119,616 |
Finance income | 1 |
Tax expense | 25,806 |
Profit/loss for the year | 77,263 |
Employees
| Reporting period | |
|---|---|
Avg. employees | 1 |
Personnel costs | 178,009 DKK |
Balance sheet
| Reporting period | |
|---|---|
Cash and cash equivalents | 253 |
Current assets | 106,520 |
Non-current assets | 582,708 |
Total assets | 689,228 |
Equity | 157,175 |
Liabilities | 532,053 |
Current liabilities | 106,324 |
Working capital
| Reporting period | |
|---|---|
Trade receivables | 106,267 |
Capital and dividend
| Reporting period | |
|---|---|
Contributed capital | 40,000 |
Retained earnings | 117,175 |
Investments and assets
| Reporting period | |
|---|---|
Long-term investments and receivables | 235,083 |
Property, plant and equipment | 347,625 |
Annual report highlights
Official annual report · 2025
Business and development
Primary activities
Selskabets væsentligste aktiviteter består i at udøve virksomhed som offentlig service transport (OST-kørsel), samt aktiviteter i tilknytning hertil.
Development in activities and financial affairs
Selskabets resultatopgørelse for regnskabsåret 01-07-2024 - 30-06-2025 udviser et resultat på kr. 77.263, og selskabets balance pr. 30-06-2025 udviser en balancesum på kr. 689.228, og en egenkapital på kr. 157.175.
Årets resultat anses for tilfredsstillende.
Commitments and security
Mortgages and collateral
2. Sikkerhedsstillelser og pantsætningerDer er ingen sikkerhedsstillelser eller pantsætninger pr. statusdagen.
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