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2022, DKK
05.03.2023
Bruttoresultat

-342'

Primær drift

-3.745'

Årets resultat

7.455'

Aktiver

16.454'

Kortfristede aktiver

2.744'

Egenkapital

4.518'

Afkastningsgrad

-23 %

Soliditetsgrad

27 %

Likviditetsgrad

126 %

Resultat
05.03.2023
Årsrapport
2022
05.03.2023
2021
04.06.2022
2020
30.06.2021
2019
01.05.2020
2018
05.06.2019
2017
09.06.2018
2016
01.06.2017
2015
30.05.2016
Nettoomsætning
Bruttoresultat-341.767-129.252-117.9053.639.486-2.148.5871.435.2032.919.577-176.537
Resultat af primær drift-3.745.317-1.501.295-1.574.8762.665.897-4.475.752-2.387.398-1.436.931-1.033.950
Indtægter af kapitalandele (tilknyttede og associerede) 00000000
Finansielle indtægter000012.82847.00689.87334
Finansieringsomkostninger-94.869-113.495-94.488-380.203-576.268-727.138-486.763-200.058
Andre finansielle omkostninger00000000
Resultat før skat5.147.090-268.456-934.5983.063.521-4.790.017-1.942.382-1.443.727-2.451.405
Resultat7.454.978115.026-729.3163.191.055-4.690.197-2.031.964-1.443.727-2.451.405
Forslag til udbytte00000000
Aktiver
05.03.2023
Årsrapport
2022
05.03.2023
2021
04.06.2022
2020
30.06.2021
2019
01.05.2020
2018
05.06.2019
2017
09.06.2018
2016
01.06.2017
2015
30.05.2016
Kortfristede varebeholdninger00000000
Kortfristede tilgodehavender fra salg og tjenesteydelser 2.618.998460.031264.4911.529.7231.411.7572.463.6943.057.9141.419.985
Likvider125.094158.801101.506103.59553.917222.74598.1361.915.597
Kortfristede aktiver2.744.092618.832365.9971.633.3181.465.6742.686.4393.156.0503.335.582
Immaterielle aktiver og goodwill0005.83315.83325.83335.8330
Finansielle anlægsaktiver13.709.7524.722.4763.376.1422.641.3761.847.5471.598.372728.469258.375
Materielle aktiver00000000
Langfristede aktiver13.709.7524.722.4763.376.1422.647.2091.863.3801.624.205764.302258.375
Aktiver16.453.8445.341.3083.742.1394.280.5273.329.0544.310.6443.920.3523.593.957
Aktiver
05.03.2023
Passiver
05.03.2023
Årsrapport
2022
05.03.2023
2021
04.06.2022
2020
30.06.2021
2019
01.05.2020
2018
05.06.2019
2017
09.06.2018
2016
01.06.2017
2015
30.05.2016
Forslag til udbytte00000000
Egenkapital4.517.768-2.937.210-3.052.236-2.322.920-5.513.975-823.777153.4321.597.160
Hensatte forpligtelser00000000
Langfristet gæld til banker00000000
Anden langfristet gæld1.162.0671.067.867165.86512.9770000
Leverandører af varer og tjenesteydelser22.02853.29254.00941.663176.929264.08312.50025.833
Kortfristede forpligtelser2.171.808336.3484.728.5104.690.4706.943.0293.234.4211.866.92096.797
Gældsforpligtelser11.936.0768.278.5186.794.3756.603.4478.843.0295.134.4213.766.9201.996.797
Forpligtelser11.936.0768.278.5186.794.3756.603.4478.843.0295.134.4213.766.9201.996.797
Passiver16.453.8445.341.3083.742.1394.280.5273.329.0544.310.6443.920.3523.593.957
Passiver
05.03.2023
Nøgletal
05.03.2023
Årsrapport
2022
05.03.2023
2021
04.06.2022
2020
30.06.2021
2019
01.05.2020
2018
05.06.2019
2017
09.06.2018
2016
01.06.2017
2015
30.05.2016
Afkastningsgrad -22,8 %-28,1 %-42,1 %62,3 %-134,4 %-55,4 %-36,7 %-28,8 %
Dækningsgrad Na.Na.Na.Na.Na.Na.Na.Na.
Resultatgrad Na.Na.Na.Na.Na.Na.Na.Na.
Varelagerets omsætningshastighed Na.Na.Na.Na.Na.Na.Na.Na.
Egenkapitals-forretning 165,0 %-3,9 %23,9 %-137,4 %85,1 %246,7 %-941,0 %-153,5 %
Payout-ratio Na.Na.Na.Na.Na.Na.Na.Na.
Gældsdæknings-nøgletal -3.947,9 %-1.322,8 %-1.666,7 %701,2 %-776,7 %-328,3 %-295,2 %-516,8 %
Soliditestgrad 27,5 %-55,0 %-81,6 %-54,3 %-165,6 %-19,1 %3,9 %44,4 %
Likviditetsgrad 126,4 %184,0 %7,7 %34,8 %21,1 %83,1 %169,1 %3.446,0 %
Resultat
05.03.2023
Gæld
05.03.2023
Årsrapport
05.03.2023
Nyeste:01.01.2022- 31.12.2022(offentliggjort: 05.03.2023)
Information om virksomhedens regnskabsklasse:The annual report for Real Relief Holding ApS 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:5. Charges and security For bank loans in Real Relief ApS, TDKK 5,578, the company has provided security in company assets representing a nominal value of TDKK 6,000. This security comprises the assets below, stating the carrying amounts: DKK in thousands Inventories 0 Other fixtures and fittings, tools and equipment 0 Trade receivables 0 The subsidiaries Real Relief ApS are also covered by this mortgage.
Beretning
05.03.2023
Dato for ledelsens godkendelse af årsrapporten:2023-02-27
Statement by Management on the annual report
Identifikation af den godkendte årsrapport:Today, the Board of Directors and the Managing Director have approved the annual report of Real Relief Holding ApS for the financial year 2022.
Management's review
Beskrivelse af virksomhedens væsentligste aktiviteter:The principal activities of the company Like previous years, the principal activities are fincial investments in subsidiaries and management for the subsidiaries.