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REBOOT ApS: Financial statements 2020

CVR: 10822947

REBOOT ApS (CVR 10822947) has filed annual accounts for 2020. In 2020, the company reported a gross profit of DKK -1,054,534 and a net result of DKK 4,896,394 compared with DKK 6,394,534 the year before. Equity amounted to DKK 43,565,687. The solvency ratio was 95.3%.

Gross Profit
-1,054,534 kr.
Profit/Loss
4,896,394 kr.
Equity
43,565,687 kr.
Total Assets
45,699,565 kr.

Development

YearRevenueGross ProfitProfit/LossEquityEmployees
2020--1.1 mio.4.9 mio.43.6 mio.-
2019--697 t.6.4 mio.38.8 mio.-
2018--1 mio.14.3 mio.32.8 mio.-
2017--915 t.14.9 mio.18.7 mio.-
2016--999 t.816 t.3 mio.-

Official annual report

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How creditworthy is REBOOT ApS?

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Events in 2020

REBOOT ApS appoints new auditorDec 16, 2020

As of December 16, 2020, REVISOR-TEAM P/S has been appointed auditor of REBOOT ApS.

Michael Krautwald joins REBOOT ApS as directorDec 16, 2020

As of December 16, 2020, Michael Krautwald is registered as director of REBOOT ApS.

Auditor steps down at REBOOT ApSDec 8, 2020

As of December 8, 2020, REVISOR-TEAM P/S has stepped down as auditor of REBOOT ApS.

Michael Krautwald steps down as director of REBOOT ApSDec 8, 2020

As of December 8, 2020, Michael Krautwald has stepped down as director of REBOOT ApS.

About REBOOT ApS

REBOOT ApS is a Danish company of the type Anpartsselskab based in København K, founded in 1987. The company is registered under the industry Ikke-finansielle holdingselskaber. The company was previously named 3 FALKE AUDIO/VIDEO ApS and 3 FALKE BANG OG OLUFSEN ApS. The management consists of Michael Krautwald. The company is owned by Christian Riskær Pedersen, Frederik Nicolai Riskær Pedersen and Kristoffer Sander Thomsen. The company has 4 employees. In 2025, the company reported a gross profit of DKK -1,594,583 and a net result of DKK 6,411,124 compared with DKK 9,235,076 the year before. Equity amounted to DKK 81,467,277.