Rotyre Danmark ApSAktiv

CVR 42544183Stiftet 2021

Økonomiske nøgletal

-1.007.906 kr.-2.233,4%
Bruttofortjeneste 2023/24
-1,5 mio.-1 mio.-500 t.0500 t.2021/222022/232023/24

Nøgletal

2023/24
Balancens sammensætning
OmsætningsaktiverAnlægsaktiverGæld og hensatte forpligtelserEgenkapital
01 mio.2 mio.3 mio.2021/222022/232023/24

Selskabsskat

indkomstår 2024
2024Skattepligtig indkomst -1.125.869 kr.0 kr.
2023Skattepligtig indkomst -72.440 kr.0 kr.
2022Skattepligtig indkomst -67.793 kr.0 kr.
Selskabsskat →

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

Regnskabstal2022–2024
2021/222022/232023/24
Balance — aktiver
Likvide beholdninger751.5431.554.530615.271
Omsætningsaktiver i alt757.7791.785.8791.049.010
Anlægsaktiver i alt———
Aktiver i alt757.7791.785.8791.049.010
Balance — passiver
Kortfristede gældsforpligtelser785.4711.886.6192.187.555
Langfristede gældsforpligtelser———
Gældsforpligtelser i alt785.4711.886.6192.187.555
Selskabskapital40.28440.28440.284
Overført resultat-67.976-141.024-1.178.829
Årets resultat-67.976-73.048-1.037.805
Egenkapital i alt-27.692-100.740-1.138.545
Resultatopgørelse
Bruttofortjeneste-67.97647.244-1.007.906
Resultat af primær drift-67.97647.244-1.007.906
Resultat før skat-67.976-73.048-1.037.805
Årets resultat-67.976-73.048-1.037.805
Personaleomkostninger———
Af- og nedskrivninger———
Andre nøgletal
Ansatte000
Udbytte0——

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Om virksomheden

Årsrapport 2024

The Company's principal activities The purpose of the company is to do business with online sale of tires and sale from shops and other related business.

Financial Development The Company's Income Statement of the financial year 1 July 2023 - 30 June 2024 shows a result of EUR -139,116 and the Balance Sheet at 30 June 2024 a total of EUR 140,618 and an equity of EUR -152,620. The Company considers the result for the year to be in line with expectations. The Company has lost all of the share capital. Due to the market situation in Denmark the Management has decided to liquidate the company during 2024 as a solvent company. , The Company's Income Statement of the financial year 1 July 2023 - 30 June 2024 shows a result of EUR -139,116 and the Balance Sheet at 30 June 2024 a total of EUR 140,618 and an equity of EUR -152,620. The Company considers the result for the year to be in line with expectations. The Company has lost all of the share capital. Due to the market situation in Denmark the Management has decided to liquidate the company during 2024 as a solvent company.

Uddrag af ledelsesberetningen i den seneste årsrapport.

Rotyre Danmark ApS — cvrprofil.dk