Reel ApSAktiv
Økonomiske nøgletal
Nøgletal
2025/26Balancens sammensætning
Selskabsskat
indkomstår 2024Administrationsselskab i en sambeskatning med 2 datterselskaber — tallene gælder hele sambeskatningen.
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
Regnskabstal2021–2026
| 2020/21 | 2022 | 2023 | 2024 | 2025 | 2025/26 | |
|---|---|---|---|---|---|---|
| Balance — aktiver | ||||||
| Likvide beholdninger | 198.913 | 11.570.063 | 558.697 | 23.593.276 | 16.109.467 | 103.520.528 |
| Omsætningsaktiver i alt | 203.186 | 12.402.521 | 41.690.956 | 27.030.083 | 22.592.489 | 115.429.242 |
| Anlægsaktiver i alt | — | 194.427 | 445.147 | 1.419.587 | 6.913.764 | 6.907.136 |
| Aktiver i alt | 203.186 | 12.596.948 | 42.136.103 | 28.449.670 | 29.506.253 | 122.336.378 |
| Balance — passiver | ||||||
| Kortfristede gældsforpligtelser | 167.000 | 502.499 | 1.449.877 | 1.077.901 | 16.612.056 | 1.428.955 |
| Langfristede gældsforpligtelser | — | — | — | — | — | — |
| Gældsforpligtelser i alt | 167.000 | 502.499 | 1.449.877 | 1.077.901 | 16.612.056 | 1.428.955 |
| Selskabskapital | 40.000 | 58.022 | 74.699 | 74.699 | 74.699 | 93.284 |
| Overført resultat | -3.814 | 12.036.427 | 40.611.527 | 27.297.070 | 12.819.498 | 120.814.139 |
| Årets resultat | -3.814 | -4.592.538 | -8.614.670 | -13.314.457 | -14.477.572 | -4.036.701 |
| Egenkapital i alt | 36.186 | 12.094.449 | 40.686.226 | 27.371.769 | 12.894.197 | 120.907.423 |
| Resultatopgørelse | ||||||
| Bruttofortjeneste | -3.513 | -1.915.059 | -3.391.661 | -3.718.874 | 279.944 | 563.728 |
| Resultat af primær drift | — | -4.876.047 | -9.555.683 | -15.090.888 | -16.413.861 | -5.227.623 |
| EBITDA | — | -4.866.874 | -9.540.123 | -15.071.200 | -16.397.350 | -5.220.995 |
| Resultat før skat | -3.814 | -4.919.308 | -9.548.760 | -14.762.827 | -16.338.045 | -5.209.899 |
| Årets resultat | -3.814 | -4.592.538 | -8.614.670 | -13.314.457 | -14.477.572 | -4.036.701 |
| Personaleomkostninger | — | 2.951.815 | 6.148.462 | 11.352.326 | 16.677.294 | 5.784.723 |
| Af- og nedskrivninger | — | 9.173 | 15.560 | 19.688 | 16.511 | 6.628 |
| Andre nøgletal | ||||||
| Ansatte | — | 7 | 11 | 18 | 25 | 28 |
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Om virksomheden
Årsrapport 2026Business reviewThe company's primary activities involve developing technology and transaction methods to improve the way companies and renewable energy project developers buy and sell electricity, accelerating the renewable energy transition while ensuring financial stability.
Financial review The company's income statement for the year ended 31 March 2026 shows a loss of DKK 4,036,701, and the balance sheet at 31 March 2026 shows equity of DKK 120,907,423.The company has made significant advancements in its market position and operational structure over the course of 2026 to-date. This includes essential improvements to its technology platform and contractual model as well as expansion of activities into new segments and product categories. This progress is expected to continue into next year. The results and progress are in line with expectations. Management considers the financial year to be satisfactory and as anticipated.
Uddrag af ledelsesberetningen i den seneste årsrapport.