TØMRERMESTER ERIK AGERSKOVS EFTERFØLGER ApSActive

CVR 29311684

Key figures

2.609.873 kr.+25,0%
Gross profit 2025
+12,1%
Average annual growth 2017–2025
01 m2 m3 m’17’18’19’20’21’22’23’24’25

Key ratios

2025
Balance sheet structure
Current assetsNon-current assetsLiabilities and provisionsEquity
01 m2 m3 m’17’18’19’20’21’22’23’24’25

Dividends

proposed
2025

No dividend was proposed for the financial year.

History
20250 kr.
2024150.000 kr.
2023150.000 kr.
20210 kr.
2020100.000 kr.
2019200.000 kr.
2018350.000 kr.
20170 kr.

Proposed dividend for the financial year from the annual report's profit allocation (normally paid the following year after the annual general meeting).

Corporate tax

The company is jointly taxed. Tax is assessed collectively at the administration company KRAUL INVEST HOLDING ApS.

Source: the Danish Tax Agency's public company tax lists. Calculated tax for the income year; may be lower than 22% of income, e.g. when tax is paid abroad. sktst.dk

Financial statements2017–2025
201720182019202020212022202320242025
Balance sheet — assets
Cash and cash equivalents363.543373.388752.797244.206329.945723.890525.856649.4051.102.291
Total current assets830.6591.547.1091.425.731767.1391.019.0401.231.1881.375.9211.540.0852.233.199
Total non-current assets113.083125.848103.612299.725246.625203.525252.158711.359705.816
Total assets943.7421.672.9571.529.3431.066.8641.265.6651.434.7131.628.0792.251.4442.939.015
Balance sheet — liabilities and equity
Current liabilities555.5971.136.0231.120.601692.402795.207874.674799.8791.261.8721.545.738
Non-current liabilities—————————
Total liabilities555.5971.136.0231.120.601692.402795.207874.674799.8791.261.8721.545.738
Share capital125.000125.000125.000125.000125.000125.000125.000125.000125.000
Retained earnings of previous periods250.07745.89666.252128.056327.000416.119533.466679.1741.222.121
Profit for the year18.644145.818220.356161.805198.94389.119267.346295.708542.947
Total equity375.077520.896391.252353.056452.000541.119808.466954.1741.347.121
Income statement
Gross profit1.045.7491.480.7151.437.3271.519.8691.560.0041.559.8371.697.4142.087.4232.609.873
Operating profit24.061183.655276.595203.166250.322108.612315.574391.108706.630
EBITDA43.296205.890298.831252.553303.422151.712371.941494.075829.082
Profit before income tax25.728191.160286.554212.713259.152115.145343.554382.168698.751
Profit for the reporting year18.644145.818220.356161.805198.94389.119267.346295.708542.947
Labour costs1.002.4531.274.8251.138.4961.267.3161.256.5821.408.1251.325.4731.578.0151.780.791
Depreciation of non-current assets19.23522.23522.23649.38753.10043.10056.367102.967122.452
Other indicators
Employees———233330
Dividends0350.000200.000100.0000—150.000150.0000

A dash (—) means the report has not been filed or the line is not reported; 0 is a zero stated in the report.

About the company

Annual report 2025

Selskabets væsentligste aktiviteter består i at drive tømrervirksomhed.

Selskabet har fortsat sine normale driftsaktiviteter. Der har ikke været nogle væsentlige ændringer i aktiviteter og økonomiske forhold i regnskabsåret. Selskabets resultatopgørelse for regnskabsåret 01-01-2025 - 31-12-2025 udviser et resultat på kr. 542.947, og selskabets balance pr. 31-12-2025 udviser en balancesum på kr. 2.939.015, og en egenkapital på kr. 1.347.121.Årets resultat anses for tilfredsstillende.

Excerpt from the management's review in the latest annual report.

TØMRERMESTER ERIK AGERSKOVS EFTERFØLGER ApS — cvrprofil.dk