Back to company

COPENHAGEN CAPACITY, FONDEN TIL MARKEDSFØRING OG ERHVERVSFREMME: Financial statements 2012

CVR: 17538896

COPENHAGEN CAPACITY, FONDEN TIL MARKEDSFØRING OG ERHVERVSFREMME (CVR 17538896) has filed annual accounts for 2012. In 2012, the company reported revenue of DKK 49,700,044 and a net result of DKK 12,850. The profit margin was 0%. Equity amounted to DKK 3,295,542. The solvency ratio was 18.7%.

Revenue
49,700,044 kr.
Profit/Loss
12,850 kr.
Equity
3,295,542 kr.
Total Assets
17,646,014 kr.

Official annual report

View the official annual report directly on the page with a Pro subscription.

How creditworthy is COPENHAGEN CAPACITY, FONDEN TIL MARKEDSFØRING OG ERHVERVSFREMME?

See the CDS score and get a full credit report with recommended credit limit and payment terms.

Read about the CDS score

Events in 2012

COPENHAGEN CAPACITY, FONDEN TIL MARKEDSFØRING OG ERHVERVSFREMME appoints new auditorApr 26, 2012

As of April 26, 2012, JUT NR. 2180 A/S has been appointed auditor of COPENHAGEN CAPACITY, FONDEN TIL MARKEDSFØRING OG ERHVERVSFREMME.

About COPENHAGEN CAPACITY, FONDEN TIL MARKEDSFØRING OG ERHVERVSFREMME

COPENHAGEN CAPACITY, FONDEN TIL MARKEDSFØRING OG ERHVERVSFREMME is a Danish company of the type Erhvervsdrivende fond based in København K, founded in 1999. The company is registered under the industry Erhvervs- og arbejdsgiverorganisationers aktiviteter. The company was previously named COPENHAGEN CAPACITY, FONDEN TIL MARKEDSFØRING OG ERHVERVSFREMME I REGION HOVEDSTADEN and COPENHAGEN CAPACITY. FONDEN TIL MARKEDSFØRING OG ERHVERVSFREMME I HOVEDSTADSREGIONEN. The management consists of Asbjørn Overgaard Christiansen. The company has 65 employees. In 2025, the company reported revenue of DKK 41,013,426 and a net result of DKK -11,128,904 compared with DKK 1,667,398 the year before. Equity amounted to DKK -4,674,275.