Selskabets formål er at erhverve fast ejendom og forestå udlejning og drift heraf, samt i øvrigt at forestå de i tilknytning hertil naturligt hørende aktiviteter, herunder blandt andet finansiering eller investering ved anvendelse af egen- eller lånefinansierede instrumenter til afdækning af forretningsmæssige risici.
| Year | Revenue | Profit/Loss | Total Assets | Equity | Employees | Report |
|---|---|---|---|---|---|---|
| 2025 | 5.8 mio. | 2.1 mio. | 112.3 mio. | 65.9 mio. | 0 | |
CVR: 27972756
7 properties
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Compared to 18.675 companies in Udlejning af erhvervsejendomme
Comparison is based on industry median values
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The financial health of K/S SILKEGADE 13 appears stable, with consistent revenue generation and a solid equity position. Revenue has shown a slight increase from 4,626,955 DKK in 2021 to 5,769,693 DKK in 2025, while profit peaked at 15,874,768 DKK in 2022 before stabilizing around 2 million DKK in the following years. The company's equity has grown steadily, reaching 65,898,302 DKK in 2025, indicating a strong capital base. However, the declining profit margins in recent years may raise concerns about operational efficiency. Overall, K/S SILKEGADE 13 maintains a solid position within the commercial real estate rental industry.
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