Copied
 
 
2023, DKK
02.05.2024
Bruttoresultat

6.671'

Primær drift

-15.800'

Årets resultat

-12.774'

Aktiver

34.286'

Kortfristede aktiver

18.339'

Egenkapital

4.172'

Afkastningsgrad

-46 %

Soliditetsgrad

12 %

Likviditetsgrad

61 %

Resultat
02.05.2024
Årsrapport
2023
02.05.2024
2022
27.06.2023
2021
20.06.2022
2020
07.06.2021
2019
06.04.2020
2018
01.07.2019
2017
19.06.2018
2015
20.06.2017
Nettoomsætning35.478.00044.738.00059.90937.101.31939.221.40835.922.152
Bruttoresultat6.671.00028.693.000000013.100.2057.730.999
Resultat af primær drift-15.800.0006.458.000-9.253-5.912.601-5.042.921-5.955.589-4.014.401-6.978.626
Indtægter af kapitalandele (tilknyttede og associerede) 00000000
Finansielle indtægter154.000442.0009877.5618.724.896000
Finansieringsomkostninger-728.000-961.000-94000000
Andre finansielle omkostninger000-982.455-743.485-973.151-650.483-371.752
Resultat før skat-16.374.0005.990.000-10.09500-6.928.740-4.664.884-7.350.378
Resultat-12.774.0005.990.000-9.721-6.817.4952.938.490-6.928.740-4.664.884-7.350.378
Forslag til udbytte00000000
Aktiver
02.05.2024
Årsrapport
2023
02.05.2024
2022
27.06.2023
2021
20.06.2022
2020
07.06.2021
2019
06.04.2020
2018
01.07.2019
2017
19.06.2018
2015
20.06.2017
Kortfristede varebeholdninger00000000
Kortfristede tilgodehavender fra salg og tjenesteydelser 16.475.00013.619.00019.34920.308.56419.090.62013.891.7374.646.9773.309.137
Likvider1.864.0004.065.0008.75810.750.24410.274.0171.700.3001.210.516483.444
Kortfristede aktiver18.339.00017.684.00028.10731.058.80829.364.63715.592.0375.857.4933.792.581
Immaterielle aktiver og goodwill15.947.0004.277.0000493.55200778.117825.174
Finansielle anlægsaktiver00000000
Materielle aktiver00000000
Langfristede aktiver15.947.0004.277.0000493.55200778.117825.174
Aktiver34.286.00021.961.00028.10731.552.36029.364.63715.592.0376.635.6104.617.755
Aktiver
02.05.2024
Passiver
02.05.2024
Årsrapport
2023
02.05.2024
2022
27.06.2023
2021
20.06.2022
2020
07.06.2021
2019
06.04.2020
2018
01.07.2019
2017
19.06.2018
2015
20.06.2017
Forslag til udbytte00000000
Egenkapital4.172.0001.508.000-29.482-19.760.413-12.942.918-15.881.408-8.952.668-4.287.784
Hensatte forpligtelser00000000
Langfristet gæld til banker00000000
Anden langfristet gæld1.240.0000004.191.15200
Leverandører af varer og tjenesteydelser8.123.00030.00010269.4941.822.545000
Kortfristede forpligtelser30.114.00019.213.00057.58949.633.78636.348.99527.282.29311.846.1785.564.378
Gældsforpligtelser30.114.00020.453.00057.58951.312.77342.307.55531.473.44515.588.2788.905.539
Forpligtelser30.114.00020.453.00057.58951.312.77342.307.55531.473.44515.588.2788.905.539
Passiver34.286.00021.961.00028.10731.552.36029.364.63715.592.0376.635.6104.617.755
Passiver
02.05.2024
Nøgletal
02.05.2024
Årsrapport
2023
02.05.2024
2022
27.06.2023
2021
20.06.2022
2020
07.06.2021
2019
06.04.2020
2018
01.07.2019
2017
19.06.2018
2015
20.06.2017
Afkastningsgrad -46,1 %29,4 %-32,9 %-18,7 %-17,2 %-38,2 %-60,5 %-151,1 %
Dækningsgrad 18,8 %64,1 %Na.Na.Na.Na.Na.Na.
Resultatgrad -36,0 %13,4 %-16,2 %-18,4 %7,5 %-19,3 %Na.Na.
Varelagerets omsætningshastighed Na.Na.Na.Na.Na.Na.Na.Na.
Egenkapitals-forretning -306,2 %397,2 %33,0 %34,5 %-22,7 %43,6 %52,1 %171,4 %
Payout-ratio Na.Na.Na.Na.Na.Na.Na.Na.
Gældsdæknings-nøgletal -2.170,3 %672,0 %-984,4 %Na.Na.Na.Na.Na.
Soliditestgrad 12,2 %6,9 %-104,9 %-62,6 %-44,1 %-101,9 %-134,9 %-92,9 %
Likviditetsgrad 60,9 %92,0 %48,8 %62,6 %80,8 %57,2 %49,4 %68,2 %
Resultat
02.05.2024
Gæld
02.05.2024
Årsrapport
02.05.2024
Nyeste:01.01.2023- 31.12.2023(offentliggjort: 02.05.2024)
Information om virksomhedens regnskabsklasse:The Annual Report of Astralis CS ApS for 2023 has been presented in accordance with the provisions of the Financial Statements Act for Danish enterprises in reporting class B and certain provisions applying to reporting class C. Regnskabsklasse B1 true true The Annual Report is prepared consistently with the accounting principles applied last year.
Oplysning om eventualaktiver:Contingent assets The Company has a non-recognized tax asset of DKK 2,707k relating primarily to tax loss carryforwards, which can be used by the Company or other group related entities. Capitalisation awaits that the Company and/or other group related entities become profitable on a sustainable basis.
Beretning
02.05.2024
Dato for ledelsens godkendelse af årsrapporten:2024-04-24
Oplysning om usædvanlige forhold:Going concern assumptions 7 As a result of the loss for the year, end 2023, the parent (Astralis Management ApS) provided an equity contribution to recapitalise the equity of the Company. In addition Astralis A/S has issued a support letter valid until 31 December 2024 which secures the operations and financing throughout 2024. As a result, Management has concluded that the Company is a going concern.
Statement by Management on the annual report
Identifikation af den godkendte årsrapport:Today the Board of Directors and Executive Board have discussed and approved the Annual Report of Astralis CS ApS for the financial year 1 January - 31 December 2023.
Management's review
Beskrivelse af virksomhedens væsentligste aktiviteter:Principal activities The Company’s primary activity is to run E-sport Counter-Strike team and its participation in tournaments.