Beta Cph ApSAktiv

CVR 39908085

Økonomiske nøgletal

8.786.128 kr.+39,0%
Bruttofortjeneste 2024/25
-5 mio.05 mio.10 mio.2018/192019/202020/212021/222022/232023/242024/25

Nøgletal

2024/25
Balancens sammensætning
OmsætningsaktiverAnlægsaktiverGæld og hensatte forpligtelserEgenkapital
05 mio.10 mio.2018/192019/202020/212021/222022/232023/242024/25
Regnskabstal2019–2025
2018/192019/202020/212021/222022/232023/242024/25
Balance — aktiver
Likvide beholdninger1.465.453990.724822.7161.100.114635.0731.562.3952.612.522
Omsætningsaktiver i alt2.259.8922.334.7042.269.6621.228.5951.469.7222.796.2633.055.935
Anlægsaktiver i alt1.710.8312.145.0072.084.9311.986.0621.809.2651.842.0371.688.526
Aktiver i alt3.970.7234.479.7114.354.5933.214.6573.278.9874.638.3004.744.461
Balance — passiver
Kortfristede gældsforpligtelser5.694.1796.613.7728.116.4086.828.1323.779.0903.833.3122.956.456
Langfristede gældsforpligtelser———————
Gældsforpligtelser i alt5.694.1796.613.7728.116.4086.828.1323.779.0903.833.3122.956.456
Selskabskapital50.00050.00050.00050.00050.00050.00050.000
Overført resultat-1.773.456-2.184.062-3.811.815-3.663.475-550.103722.4061.738.005
Årets resultat-1.773.456-958.546-917.830128.3403.113.3721.272.5092.566.096
Egenkapital i alt-1.723.456-2.134.062-3.761.815-3.613.475-500.103772.4061.788.005
Resultatopgørelse
Bruttofortjeneste-1.240.6061.533.8941.755.9595.069.6887.440.4206.321.0778.786.128
Resultat af primær drift-1.817.835-486.466-447.9221.771.6463.134.4391.733.0253.545.493
EBITDA-1.584.887-94.623-20.4072.324.0153.746.4702.193.9993.920.105
Resultat før skat-2.273.662-1.228.905-1.240.1671.203.4673.113.3721.573.6133.273.179
Årets resultat-1.773.456-958.546-917.830128.3403.113.3721.272.5092.566.096
Personaleomkostninger344.2811.628.5171.776.3662.745.6733.665.2174.125.5284.866.023
Af- og nedskrivninger232.948391.843427.515552.369612.031460.974374.612
Andre nøgletal
Ansatte—1268111113
Udbytte0000———

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Om virksomheden

Årsrapport 2025

As in previous years, the company's primary activities is to operate a sports restaurant and leisure acitvities, including climbing and climbing related activities.

The results of the company's activities in the financial year amounted to a profit of DKK 2.566.096 against DKK 1.272.509 in last financial year. The equity at the balance sheet date amounted to DKK 1.788.005. Management does consider the results as satisfactory.

Uddrag af ledelsesberetningen i den seneste årsrapport.

Beta Cph ApS — cvrprofil.dk