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TAPFREELANCE ApS: Financial statements 2021

CVR: 35512748

Source: annual report 2021, Danish Business Authority

01/01/202131/12/2021

TAPFREELANCE ApS (CVR 35512748) has filed annual accounts for 2021. In 2021, the company reported revenue of DKK 496,342 and a net result of DKK 36,232 compared with DKK 3,926 the year before. That is an increase of 37.8% compared with the year before. The profit margin was 7.3%. Equity in the 2021 report amounted to DKK 190,271. The solvency ratio was 41.5%.

Revenue
DKK 496,342
Gross Profit
DKK 418,134
Profit/Loss
DKK 36,232
Equity
DKK 190,271
Total Assets
DKK 458,979

Development

YearRevenueGross ProfitProfit/LossEquityEmployees
2021496 t.418 t.36 t.190 t.-
2020360 t.-4 t.127 t.-
2019357 t.562 t.16 t.132 t.-
2018569 t.503 t.2 t.116 t.-
2017634 t.632 t.4 t.114 t.-

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Events in 2021

TAPFREELANCE ApS: The 2020 annual report is outMar 22, 2021

TAPFREELANCE ApS has published its annual report for 2020. Revenue came to DKK 360,230, and the net result was DKK 3,926.

About TAPFREELANCE ApS

TAPFREELANCE ApS is a Danish company of the type Anpartsselskab based in Kgs. Lyngby, founded in 2013. The company is registered under the industry Virksomhedsrådgivning og anden ledelsesrådgivning. The management consists of Torben Abildgaard Pedersen. The company is owned by Tapholding ApS. The company has 2 employees (2018). In 2025, the company reported revenue of DKK 352,097 and a net result of DKK 10,076 compared with DKK 62,616 the year before. Equity in the 2025 report amounted to DKK 339,418.

Source: annual report 2025, Danish Business Authority