True Energy A/S (Under frivillig likvidation)Aktiv
Økonomiske nøgletal
Nøgletal
2025/26Balancens sammensætning
Selskabsskat
indkomstår 2021Virksomheden er sambeskattet. Skatten opgøres samlet hos administrationsselskabet CVR 39674130.
Kilde: Skattestyrelsens offentlige skattelister for selskaber. Beregnet skat for indkomståret; kan være lavere end 22 % af indkomsten, fx ved skat betalt i udlandet. sktst.dk
Regnskabstal2018–2026
| 2018 | 2019 | 2020 | 2021 | 2021/22 | 2022/23 | 2023/24 | 2024/25 | 2025/26 | |
|---|---|---|---|---|---|---|---|---|---|
| Balance — aktiver | |||||||||
| Likvide beholdninger | 402.074 | 1.918.388 | 1.901.121 | 1.500.964 | 1.011.912 | 2.947.560 | 36.063 | 36.063 | 208.743 |
| Omsætningsaktiver i alt | 589.244 | 2.854.529 | 2.954.222 | 2.618.877 | 2.569.637 | 6.397.529 | 813.731 | 5.030.925 | 235.392 |
| Anlægsaktiver i alt | 236.519 | 1.728.584 | 5.479.352 | 8.628.866 | 8.894.997 | 10.470.269 | 39.899 | 0 | — |
| Aktiver i alt | 825.763 | 4.583.113 | 8.433.574 | 11.247.743 | 11.464.634 | 16.867.798 | 853.630 | 5.030.925 | 235.392 |
| Balance — passiver | |||||||||
| Kortfristede gældsforpligtelser | 972.231 | 1.382.852 | 1.441.229 | 1.337.008 | 660.984 | 2.542.126 | 37.762.139 | 49.450.909 | 604.115 |
| Langfristede gældsforpligtelser | — | 85.459 | 244.185 | 8.336.069 | 14.068.112 | 32.066.327 | — | — | 27.550.738 |
| Gældsforpligtelser i alt | 972.231 | 1.468.311 | 1.685.414 | 9.673.077 | 14.729.096 | 34.608.453 | 37.762.139 | 49.450.909 | 28.154.853 |
| Selskabskapital | 50.000 | 75.000 | 400.000 | 492.593 | 492.593 | 492.593 | 492.593 | 492.593 | 492.593 |
| Overført resultat | -196.468 | 3.039.802 | 2.506.107 | -5.621.483 | -10.667.494 | -26.369.547 | -37.401.102 | -44.912.577 | -28.412.054 |
| Årets resultat | -196.468 | -1.738.730 | -3.759.244 | -9.673.494 | -4.839.128 | -14.476.193 | -8.736.701 | -7.511.475 | -4.499.478 |
| Egenkapital i alt | -146.468 | 3.114.802 | 6.748.160 | 1.574.666 | -3.264.462 | -17.740.655 | -36.908.509 | -44.419.984 | -27.919.461 |
| Resultatopgørelse | |||||||||
| Bruttofortjeneste | -92.686 | -967.406 | -78.858 | -1.429.234 | -2.100.388 | -895.158 | 3.903.958 | 6.202.104 | -1.980.060 |
| Resultat af primær drift | -246.457 | -2.159.630 | -4.174.341 | -9.972.586 | -4.903.387 | -14.337.543 | -6.556.120 | -7.011.988 | -3.268.347 |
| EBITDA | — | -1.717.217 | -2.803.554 | -7.726.283 | -3.878.199 | -10.202.193 | — | — | — |
| Resultat før skat | -250.468 | -2.166.730 | -4.199.244 | -10.025.771 | -4.942.991 | -14.713.793 | -8.736.701 | -8.883.489 | -4.512.307 |
| Årets resultat | -196.468 | -1.738.730 | -3.759.244 | -9.673.494 | -4.839.128 | -14.476.193 | -8.736.701 | -7.511.475 | -4.499.478 |
| Personaleomkostninger | 153.771 | 749.811 | 2.706.821 | 5.834.552 | 1.777.811 | 9.307.035 | 10.460.078 | 9.185.116 | 1.288.287 |
| Af- og nedskrivninger | — | 442.413 | 1.370.787 | 2.246.303 | 1.025.188 | 4.135.350 | — | — | — |
| Andre nøgletal | |||||||||
| Ansatte | — | 3 | 6 | 8 | 6 | 8 | 14 | 11 | 4 |
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Om virksomheden
Årsrapport 2026Business reviewTrue Energy was founded in Denmark in 2018. With partners in the Nordics, we aim to make it easy for customers to automatically use electricity when it is cheapest and most climatefriendly. At the same time, True Energy’s solutions help balance the energy grid. In this way, we – and our customers – support the transition to more renewable energy. The company's purpose is to develop solutions for intelligent electricity consumption. Main focus is electrical vehicles (EV), where True Energy’s App automatically makes charging cheaper and more climate friendly. Furthermore, the solutions balance the grid and thereby support the electrification and acceleration of transition to sustainable energy.
Financial review The company's income statement for the year ended 31 March 2026 shows a loss of DKK 4,499,478, and the balance sheet at 31 March 2026 shows negative equity of DKK 27,919,461.As of 31 March 2026, the Company’s equity is negative by TDKK 27,919. Accordingly, the Company is subject to the provisions of the Danish Companies Act regarding capital loss. To support the Company’s continued operations, the parent company, Landis+Gyr AG, has committed to provide financial support to True Energy A/S (in voluntary liquidation) through a credit facility amounting to TDKK 50,000 as of 31 March 2026. This letter of support is valid for a period of at least twelve months from the date of signing the financial statements of True Energy A/S for the period ended 31 March 2026.
Uddrag af ledelsesberetningen i den seneste årsrapport.