Copied
 
 
2022, DKK
07.07.2023
Bruttoresultat

26.162'

Primær drift

-16.756'

Årets resultat

-20.822'

Aktiver

669''

Kortfristede aktiver

8.957'

Egenkapital

218''

Afkastningsgrad

-3 %

Soliditetsgrad

33 %

Likviditetsgrad

150 %

Resultat
07.07.2023
Årsrapport
2022
07.07.2023
2021
08.07.2022
2020
11.05.2021
2019
26.05.2020
2018
22.05.2019
2017
28.05.2018
2016
01.06.2017
2015
30.05.2016
Nettoomsætning44.510.81343.850.60838.336.39934.177.761
Bruttoresultat26.162.28331.557.15837.414.9470000
Resultat af primær drift-16.756.34151.657.058-8.104.05433.712.45733.174.87927.842.83923.556.704
Indtægter af kapitalandele (tilknyttede og associerede) 0000000
Finansielle indtægter23.532.5062.076.1561.664.2961.056.094279.8432.819.7256.590.836
Finansieringsomkostninger-33.593.933-6.833.205-9.893-291.491-25.423-6.790.813-14.154.966
Andre finansielle omkostninger0000000
Resultat før skat-26.817.76846.900.009-6.449.65134.477.06033.429.29923.871.75115.992.574
Resultat-20.822.32336.576.971-5.032.26827.011.54226.074.85518.619.96612.630.783
Forslag til udbytte0000000
Aktiver
07.07.2023
Årsrapport
2022
07.07.2023
2021
08.07.2022
2020
11.05.2021
2019
26.05.2020
2018
22.05.2019
2017
28.05.2018
2016
01.06.2017
2015
30.05.2016
Kortfristede varebeholdninger0000000
Kortfristede tilgodehavender fra salg og tjenesteydelser 3.395.988125.541.952122.462.67390.123.97757.556.95423.702.824375.181.340
Likvider5.560.91725.741.0793.305.1925.151.790261.763101.1806.638.799
Kortfristede aktiver8.956.9050095.275.76757.818.71723.804.004381.820.139
Immaterielle aktiver og goodwill0000000
Finansielle anlægsaktiver0000000
Materielle aktiver660.475.970703.275.555682.075.140237.206.209239.956.729243.487.277248.308.531
Langfristede aktiver660.475.970703.275.555682.075.140237.206.209239.956.729243.487.277248.308.531
Aktiver669.432.875854.558.586807.843.005332.481.976297.775.446267.291.281630.128.670
Aktiver
07.07.2023
Passiver
07.07.2023
Årsrapport
2022
07.07.2023
2021
08.07.2022
2020
11.05.2021
2019
26.05.2020
2018
22.05.2019
2017
28.05.2018
2016
01.06.2017
2015
30.05.2016
Forslag til udbytte0000000
Egenkapital218.075.940370.524.608676.947.640303.910.950276.899.408250.827.552175.357.093
Hensatte forpligtelser110.384.801117.638.823110.707.39411.686.56110.738.2899.247.3877.408.571
Langfristet gæld til banker335.000.000343.000.00000000
Anden langfristet gæld0000000
Leverandører af varer og tjenesteydelser27.96627.880714.609200.52573.738423.603447.571
Kortfristede forpligtelser5.972.13423.395.15520.187.97116.884.46510.137.7497.216.342447.363.006
Gældsforpligtelser340.972.134366.395.15520.187.97116.884.46510.137.7497.216.342447.363.006
Forpligtelser340.972.134366.395.15520.187.97116.884.46510.137.7497.216.342447.363.006
Passiver669.432.875854.558.586807.843.005332.481.976297.775.446267.291.281630.128.670
Passiver
07.07.2023
Nøgletal
07.07.2023
Årsrapport
2022
07.07.2023
2021
08.07.2022
2020
11.05.2021
2019
26.05.2020
2018
22.05.2019
2017
28.05.2018
2016
01.06.2017
2015
30.05.2016
Afkastningsgrad -2,5 %6,0 %-1,0 %10,1 %11,1 %10,4 %3,7 %
Dækningsgrad Na.Na.Na.Na.Na.Na.Na.
Resultatgrad Na.Na.Na.60,7 %59,5 %48,6 %37,0 %
Varelagerets omsætningshastighed Na.Na.Na.Na.Na.Na.Na.
Egenkapitals-forretning -9,5 %9,9 %-0,7 %8,9 %9,4 %7,4 %7,2 %
Payout-ratio Na.Na.Na.Na.Na.Na.Na.
Gældsdæknings-nøgletal -49,9 %756,0 %-81.917,1 %11.565,5 %130.491,6 %410,0 %166,4 %
Soliditestgrad 32,6 %43,4 %83,8 %91,4 %93,0 %93,8 %27,8 %
Likviditetsgrad 150,0 %Na.Na.564,3 %570,3 %329,9 %85,3 %
Resultat
07.07.2023
Gæld
07.07.2023
Årsrapport
07.07.2023
Nyeste:01.01.2022- 31.12.2022(offentliggjort: 07.07.2023)
Oplysning om pantsætninger og sikkerhedsstillelser: 7. Charges and security As collateral for mortgage loans, TDKK 335.000, security has been granted on land and buildings representing a carrying amount of TDKK 655.000 at 31 December 2021. In addition, the company has pledged their cash, other fixtures and fittings, tools and equipment and prepayments representing a carrying amount of TDKK 14.433 at 31 December 2021.
Beretning
07.07.2023
Dato for ledelsens godkendelse af årsrapporten:2022-07-08
Beskrivelse af usikkerhed ved indregning eller måling:Uncertainties about recognition or measurement The fair value of the property is determined on the basis of a calculated capital value. To that extent market interest rates change, an investor's interest rate requirements change or the conditions of the properties change, the value of the property may change accordingly.
Statement by Management on the annual report
Identifikation af den godkendte årsrapport:Today, the board of directors and the managing director have presented the annual report of SREIT Vesterbro Propco ApS for the financial year 1 January - 31 December 2021.
Management's review
Beskrivelse af virksomhedens væsentligste aktiviteter:The principal activities of the company The company's main activities are acquiring and owning hotel properties. The company owns the property Vesterbrogade 25-27, 1620 København V, which is designed as a hotel with 400 rooms, lobby, conference department and restaurant, etc.