REFRESH HOLDING ApS: Financial statements 2021
CVR: 33501765
REFRESH HOLDING ApS (CVR 33501765) has filed annual accounts for 2021. In 2021, the company reported a gross profit of DKK -13,450 and a net result of DKK -33,046 compared with DKK 16,162 the year before. Equity amounted to DKK 1,534,694. The solvency ratio was 97.8%.
- Gross Profit
- -13,450 kr.
- Profit/Loss
- -33,046 kr.
- Equity
- 1,534,694 kr.
- Total Assets
- 1,569,090 kr.
Development
| Year | Revenue | Gross Profit | Profit/Loss | Equity | Employees |
|---|---|---|---|---|---|
| 2021 | - | -13 t. | -33 t. | 1.5 mio. | - |
| 2020 | - | -13 t. | 16 t. | 1.7 mio. | - |
| 2019 | - | -13 t. | 13 t. | 1.8 mio. | - |
| 2018 | - | -28 t. | -100 t. | 1.9 mio. | - |
| 2017 | - | 1.9 mio. | 1.9 mio. | 2 mio. | - |
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REFRESH HOLDING ApS is a Danish company of the type Anpartsselskab based in Vanløse, founded in 2011. The company is registered under the industry Anden finansiel formidling i.a.n.. The management consists of Steffen Fagerström Christensen. The company is owned by Steffen Fagerström Christensen. In 2025, the company reported a gross profit of DKK -27,250 and a net result of DKK 24,086 compared with DKK -3,793 the year before. Equity amounted to DKK 1,331,472.
