REFLEX CAPITAL GROUP ApS: Financial statements 2020
CVR: 33247001
Source: annual report 2020, Danish Business Authority
01/10/2019 – 30/09/2020
REFLEX CAPITAL GROUP ApS (CVR 33247001) has filed annual accounts for 2020. In 2020, the company reported a gross profit of DKK 0 and a net result of DKK -7,613 compared with DKK -7,613 the year before. Equity in the 2020 report amounted to DKK 19,804. The solvency ratio was 51.4%.
- Gross Profit
- DKK 0
- Profit/Loss
- DKK -7,613
- Equity
- DKK 19,804
- Total Assets
- DKK 38,522
Development
| Year | Revenue | Gross Profit | Profit/Loss | Equity | Employees |
|---|---|---|---|---|---|
| 2020 | - | 0 | -8 t. | 20 t. | - |
| 2019 | - | - | -8 t. | 27 t. | - |
| 2018 | - | - | -8 t. | 35 t. | - |
| 2017 | - | 0 | -7 t. | 43 t. | - |
| 2016 | - | 0 | -13 t. | 50 t. | - |
Official annual report
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REFLEX CAPITAL GROUP ApS has published its annual report for 2019. The net result was DKK -7,613.
About REFLEX CAPITAL GROUP ApS
REFLEX CAPITAL GROUP ApS is a Danish company of the type Anpartsselskab based in Odense SV, founded in 2010. The company is registered under the industry Anden finansiel formidling i.a.n.. The management consists of Rasmus Brandt-Madsen and Søren Foverskov Rasmussen. The company is owned by Rasmus Brandt-Madsen and Søren Foverskov Rasmussen. In 2025, the company reported a gross profit of DKK 500 and a net result of DKK 85 compared with DKK 12,000 the year before. Equity in the 2025 report amounted to DKK -6,488.
