HEDEDAMMEN ApS
CVR: 27312713
The financial health of HEDEDAMMEN ApS appears strong, with consistent revenue growth and profitability over the past five years. Revenue increased from 2,543,002 DKK in 2021 to 2,806,454 DKK in 2025, while profits rose from 1,403,556 DKK to 1,551,010 DKK in the same period, indicating a positive trend. The company's equity has also significantly improved, reaching 11,994,286 DKK in 2025, reflecting a solid foundation for future growth. However, the absence of a CDS score suggests a lack of publicly available credit risk assessment, which may be a concern for potential investors. Overall, HEDEDAMMEN ApS is well-positioned within the commercial real estate rental industry, benefiting from stable margins and a growing equity base.
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Overview
Details
Purpose
Selskabets formål er køb af ejendomme til anlægsformål samt køb, salg og finansiering af biler.
Location
Financials
| Year | Revenue | Profit/Loss | Total Assets | Equity | Employees | Report |
|---|---|---|---|---|---|---|
| 2025 | 2.8 mio. | 1.6 mio. | 35.3 mio. | 12 mio. | 0 | |
History
Ownership
Properties
(1)1 properties
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Management
Directors
Founders
Production units (1)
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