EXFLOW A/S: Financial statements 2021
CVR: 13116709
Source: annual report 2021, Danish Business Authority
01/10/2020 – 30/09/2021
EXFLOW A/S (CVR 13116709) has filed annual accounts for 2021. In 2021, the company reported a gross profit of DKK 12,792,901 and a net result of DKK 4,524,436 compared with DKK 4,692,793 the year before. That is a decrease of 0.3% compared with the year before. Equity in the 2021 report amounted to DKK 9,214,140. The solvency ratio was 60%. The company had 8 employees in the financial year.
- Gross Profit
- DKK 12,792,901
- Profit/Loss
- DKK 4,524,436
- Equity
- DKK 9,214,140
- Total Assets
- DKK 15,361,763
- Employees
- 8
Development
| Year | Revenue | Gross Profit | Profit/Loss | Equity | Employees |
|---|---|---|---|---|---|
| 2021 | - | 12.8 mio. | 4.5 mio. | 9.2 mio. | 8 |
| 2020 | - | 12.8 mio. | 4.7 mio. | 7.1 mio. | 9 |
| 2019 | - | 4.5 mio. | -716 t. | 2.2 mio. | 0 |
| 2018 | - | 5.2 mio. | 137 t. | 2.9 mio. | - |
| 2017 | - | 5.6 mio. | 156 t. | 2.7 mio. | - |
Official annual report
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EXFLOW A/S was a Danish company of the type Aktieselskab based in Fredensborg, founded in 1989. The company has been dissolved on 7 March 2025. The company was registered under the industry Engroshandel med andre maskiner og andet udstyr. The company was previously named IN VITRO A/S and A/S PSE NR. 3157. The company has 1 employee (2024). In 2023, the company reported a gross profit of DKK 2,461,079 and a net result of DKK -1,472,619 compared with DKK -3,952,416 the year before. Equity in the 2023 report amounted to DKK 789,105.
