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SANDFLOW TRADING ApS: Financial statements 2019

CVR: 34074860

Source: annual report 2019, Danish Business Authority

01/01/2019 – 31/12/2019

SANDFLOW TRADING ApS (CVR 34074860) has filed annual accounts for 2019. In 2019, the company reported a gross profit of DKK 470,826 and a net result of DKK -17,641 compared with DKK -51,648 the year before. That is a decrease of 50.4% compared with the year before. Equity in the 2019 report amounted to DKK 21,928. The solvency ratio was 4.5%. The company had 2 employees in the financial year.

Gross Profit
DKK 470,826
Profit/Loss
DKK -17,641
Equity
DKK 21,928
Total Assets
DKK 483,466
Employees
2

Development

YearRevenueGross ProfitProfit/LossEquityEmployees
2019-471 t.-18 t.22 t.2
2018-948 t.-52 t.40 t.3
2017-1.1 mio.58 t.91 t.4
2016-817 t.7 t.33 t.3
2015-606 t.4 t.26 t.2

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Events in 2019

SANDFLOW TRADING ApS: The 2018 annual report is outJun 7, 2019

SANDFLOW TRADING ApS has published its annual report for 2018. Gross profit came to DKK 948,319, and the net result was DKK -51,648.

About SANDFLOW TRADING ApS

SANDFLOW TRADING ApS is a Danish company of the type Anpartsselskab based in Ryomgård, founded in 2011. The company is registered under the industry Genindvinding af materialer. The management consists of Egon Stig Christensen. The company is owned by Egon Stig Christensen. The company has 2 employees (2026). In 2025, the company reported a gross profit of DKK 480,921 and a net result of DKK -72,590 compared with DKK -5,846 the year before. Equity in the 2025 report amounted to DKK -49,277.

Source: annual report 2025, Danish Business Authority