Glaecier ApS

CVR41003715
Company financials

Key figures

Updated 25 May 2026
Return on assets
9.2%
Return on equity
–
Current ratio
19.1%
Equity ratio
-7.6%

Profit and loss

Reporting period
Gross profit
3,324,000
Operating profit
1,968,000
Profit/loss for the year
705,000

Employees

Reporting period
Avg. employees
2
Personnel costs
846,000 DKK

Balance sheet

Reporting period
Cash and cash equivalents
3,383,000
Current assets
4,391,000
Non-current assets
16,952,000
Total assets
21,343,000
Equity
-1,618,000
Liabilities
22,961,000
Current liabilities
22,961,000

Working capital

Reporting period
Inventories
243,000
Trade receivables
207,000
Other current receivables
533,000
Trade payables
78,000

Capital and dividend

Reporting period
Contributed capital
118,000
Retained earnings
-1,736,000

Investments and assets

Reporting period
Property, plant and equipment
16,952,000

Annual report highlights

Official annual report · 2025

Business and development

Primary activities

Selskabets aktiviteter er at drive virksomhed med drift af badeklub, samt enhver i forbindelse hermed stående virksomhed.

Development in activities and financial affairs

Beskrivelse af væsentlige ændringer i aktiviteter og økonomiske forhold

Resultatopgørelsen for perioden 01.01.25 - 31.12.25 udviser et resultat på t.kr. 705 mod et negativt resultat på t.kr. 2.033 for perioden 01.01.24 - 31.12.24. Balancen viser en negativ egenkapital på t.kr. 1.620.

Expected development

Selskabet har pr. 31. december 2025 en negativ egenkapital. Egenkapitalen forventes reetableret gennem egen indtjening i de kommende år. Selskabets likvide beredskab muliggør, at selskabet kan gennemføre de planlagte aktiviteter, herunder investeringer i 2026.

Risks and material matters

Significant events after the reporting period

Der er fra balancedagen og frem til i dag ikke indtrådt forhold, som forrykker vurderingen af årsrapporten.

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