CodeFlow ApS

CVR45263940
Company financials

Key figures

Updated 15 Apr 2026
Return on assets
52.8%
Return on equity
52.7%
Current ratio
457.8%
Equity ratio
78.2%

Profit and loss

Reporting period
Gross profit
57,042
Operating profit
57,042
Finance income
44
Tax expense
12,602
Profit/loss for the year
44,484

Balance sheet

Reporting period
Cash and cash equivalents
88,972
Current assets
108,097
Total assets
108,097
Equity
84,484
Liabilities
23,613
Current liabilities
23,613

Working capital

Reporting period
Trade receivables
19,125
Trade payables
5,000

Capital and dividend

Reporting period
Contributed capital
40,000
Retained earnings
44,484

Annual report highlights

Official annual report · 2025

Business and development

Primary activities

Virksomhedens formål er at udøve virksomhed med handel og service inden for IT-infrastruktur, databehandling, hosting og relaterede aktiviteter.

Development in activities and financial affairs

Årets resultat anses for at være tilfredsstillende.