Copied
 
 
2023, DKK
25.03.2024
Bruttoresultat

-122'

Primær drift

-151'

Årets resultat

-14.488'

Aktiver

16.653'

Kortfristede aktiver

16.653'

Egenkapital

-257''

Afkastningsgrad

-1 %

Soliditetsgrad

-1544 %

Likviditetsgrad

84 %

Resultat
25.03.2024
Årsrapport
2023
25.03.2024
2022
23.06.2023
2021
17.06.2022
2020
07.07.2021
2019
31.08.2020
2018
05.07.2019
2017
28.06.2018
2016
20.06.2017
2015
08.07.2016
Nettoomsætning01.641.8609.309.457
Bruttoresultat-122.338-158.446114.16014.367.065-3.155.614-690.196000
Resultat af primær drift-150.714-158.99988.39514.541.7606.669.725-96.631.510-50.239.339-28.156.169-13.885.229
Indtægter af kapitalandele (tilknyttede og associerede) 000000000
Finansielle indtægter025.34683.2302.019.10900812.1220581.909
Finansieringsomkostninger-14.337.438-5.507.438-5.631.390-8.841.214-11.577.937-12.138.949-11.881.055-8.904.307-5.944.991
Andre finansielle omkostninger000000000
Resultat før skat-14.488.152-5.641.091-5.459.7657.719.655-4.908.212-108.770.459-61.308.272-37.060.476-19.248.311
Resultat-14.488.152-5.641.091-5.459.7657.719.655-4.908.212-108.770.459-61.308.272-37.060.476-19.248.311
Forslag til udbytte000000000
Aktiver
25.03.2024
Årsrapport
2023
25.03.2024
2022
23.06.2023
2021
17.06.2022
2020
07.07.2021
2019
31.08.2020
2018
05.07.2019
2017
28.06.2018
2016
20.06.2017
2015
08.07.2016
Kortfristede varebeholdninger0000245.671245.671266.4232.609.1673.589.216
Kortfristede tilgodehavender fra salg og tjenesteydelser 16.353.28416.365.19028.449.12155.686.50039.985.025217.475.109219.569.430244.130.732217.755.563
Likvider299.629451.6571.020.5361.155.020210.027192.212409.15419.354.3813.836.678
Kortfristede aktiver16.652.91316.816.84729.469.65756.841.52040.440.723217.912.992220.245.007266.094.280225.181.457
Immaterielle aktiver og goodwill000000000
Finansielle anlægsaktiver000000000
Materielle aktiver0000213.1942.596.4022.720.443667.6731.667.059
Langfristede aktiver0000213.1942.596.4022.720.443667.6731.667.059
Aktiver16.652.91316.816.84729.469.65756.841.52040.653.917220.509.394222.965.450266.761.953226.848.516
Aktiver
25.03.2024
Passiver
25.03.2024
Årsrapport
2023
25.03.2024
2022
23.06.2023
2021
17.06.2022
2020
07.07.2021
2019
31.08.2020
2018
05.07.2019
2017
28.06.2018
2016
20.06.2017
2015
08.07.2016
Forslag til udbytte000000000
Egenkapital-257.050.660-242.562.509-236.921.418-231.461.653-239.181.308-234.273.096-125.502.637-64.194.365-27.133.888
Hensatte forpligtelser00000168.882.20374.475.50033.502.30014.916.300
Langfristet gæld til banker000000000
Anden langfristet gæld00000000
Leverandører af varer og tjenesteydelser89.69789.518409.8244.981.0703.406.26513.482.63113.807.57815.087.37618.323.371
Kortfristede forpligtelser19.871.1516.105.48913.120.61434.879.45025.668.18131.909.27523.369.29844.723.514108.104.575
Gældsforpligtelser273.703.573259.379.356266.391.075288.303.173279.835.225285.900.287273.992.587297.454.018239.066.104
Forpligtelser273.703.573259.379.356266.391.075288.303.173279.835.225285.900.287273.992.587297.454.018239.066.104
Passiver16.652.91316.816.84729.469.65756.841.52040.653.917220.509.394222.965.450266.761.953226.848.516
Passiver
25.03.2024
Nøgletal
25.03.2024
Årsrapport
2023
25.03.2024
2022
23.06.2023
2021
17.06.2022
2020
07.07.2021
2019
31.08.2020
2018
05.07.2019
2017
28.06.2018
2016
20.06.2017
2015
08.07.2016
Afkastningsgrad -0,9 %-0,9 %0,3 %25,6 %16,4 %-43,8 %-22,5 %-10,6 %-6,1 %
Dækningsgrad Na.Na.Na.Na.Na.Na.Na.Na.Na.
Resultatgrad Na.Na.Na.Na.Na.Na.Na.-2.257,2 %-206,8 %
Varelagerets omsætningshastighed Na.Na.Na.Na.Na.Na.Na.0,6 2,6
Egenkapitals-forretning 5,6 %2,3 %2,3 %-3,3 %2,1 %46,4 %48,9 %57,7 %70,9 %
Payout-ratio Na.Na.Na.Na.Na.Na.Na.Na.Na.
Gældsdæknings-nøgletal -1,1 %-2,9 %1,6 %164,5 %57,6 %-796,0 %-422,9 %-316,2 %-233,6 %
Soliditestgrad -1.543,6 %-1.442,4 %-804,0 %-407,2 %-588,3 %-106,2 %-56,3 %-24,1 %-12,0 %
Likviditetsgrad 83,8 %275,4 %224,6 %163,0 %157,6 %682,9 %942,5 %595,0 %208,3 %
Resultat
25.03.2024
Gæld
25.03.2024
Årsrapport
25.03.2024
Nyeste:01.01.2023- 31.12.2023(offentliggjort: 25.03.2024)
Information om virksomhedens regnskabsklasse:The annual report for Trevi Foundations Denmark A/S has been presented in accordance with the Danish Financial Statements Act regulations concerning reporting class B enterprises. Furthermore, the company has decided to comply with certain rules applying to reporting class C enterprises. The accounting policies are unchanged from last year, and the annual report is presented in DKK.
Oplysning om pantsætninger og sikkerhedsstillelser:3. Charges and security The company has not made mortgages or securities beyond those that are disclosed in the annual report.
Beretning
25.03.2024
Dato for ledelsens godkendelse af årsrapporten:2024-03-20
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 Trevi Foundations Denmark A/S for the financial year 1 January - 31 December 2023.
Management's review
Beskrivelse af virksomhedens væsentligste aktiviteter:The principal activities of the company The company's objective is to implement foundation works related to “The Copenhagen Cityring Project” and hereby associated activity. The company's activity are reduced to a minimum and all employees have been terminated.