Art of the Refill ApSActive

CVR 44599015Founded 2024

Key figures

1.148.879 kr.+424,5%
Gross profit 2025/26
+424,5%
Average annual growth 2024/25–2025/26
0500 k1 m1,5 m2024/252025/26

Key ratios

2025/26
Balance sheet structure
Current assetsNon-current assetsLiabilities and provisionsEquity
02 m4 m2024/252025/26

Dividends

from the annual report
2025/26

Proposed dividend for the financial year 525.000 kr. (62% of the profit for the year).

History
2025/26525.000 kr.
2024/250 kr.

Proposed dividend from the annual report's profit allocation (normally paid the following year). If there is no proposal, the dividend paid according to the statement of changes in equity is shown.

Financial statements2025–2026
2024/252025/26
Balance sheet — assets
Cash and cash equivalents210.845158.321
Total current assets371.0623.740.662
Total non-current assets160.000120.000
Total assets531.0623.860.662
Balance sheet — liabilities and equity
Current liabilities369.4972.857.842
Non-current liabilities——
Total liabilities369.4972.857.842
Share capital40.00040.000
Retained earnings of previous periods121.565437.820
Profit for the year121.565841.255
Total equity161.5651.002.820
Income statement
Gross profit219.0621.148.879
Operating profit179.0621.108.879
EBITDA219.0621.148.879
Profit before income tax179.0621.090.907
Profit for the reporting year121.565841.255
Labour costs00
Depreciation of non-current assets40.00040.000
Other indicators
Employees00
Dividends0525.000

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

Art of the Refill ApS — cvrprofil.dk