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Pilegården Development ApS: Financial statements 2021

CVR: 37096369

Source: annual report 2021, Danish Business Authority

01/01/2021 – 31/12/2021

Pilegården Development ApS (CVR 37096369) has filed annual accounts for 2021. In 2021, the company reported revenue of DKK 2,370,317 and a net result of DKK 694,674 compared with DKK 517,641 the year before. That is an increase of 15.2% compared with the year before. The profit margin was 29.3%. Equity in the 2021 report amounted to DKK 6,192,980. The solvency ratio was 20.2%.

Revenue
DKK 2,370,317
Gross Profit
DKK 2,164,496
Profit/Loss
DKK 694,674
Equity
DKK 6,192,980
Total Assets
DKK 30,650,476
Employees
0

Development

YearRevenueGross ProfitProfit/LossEquityEmployees
20212.4 mio.2.2 mio.695 t.6.2 mio.0
20202.1 mio.1.9 mio.518 t.5.5 mio.0
20191.9 mio.1.8 mio.461 t.5 mio.0
20181.1 mio.790 t.-380 t.4.5 mio.0
201700099 t.0

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Events in 2021

Pilegården Development ApS: The 2020 annual report is outJun 14, 2021

Pilegården Development ApS has published its annual report for 2020. Revenue came to DKK 2,057,718, and the net result was DKK 517,641.

About Pilegården Development ApS

Pilegården Development ApS is a Danish company of the type Anpartsselskab based in Odense C, founded in 2015. The company is registered under the industry Udlejning af erhvervsejendomme. The management consists of Per Boe Madsen. The company is owned by Per Boe Madsen, FBM Holding ApS and BBMS Holding Aps. According to the 2025 annual report, the company had an average of 0 employees. In 2025, the company reported revenue of DKK 3,181,280 and a net result of DKK 1,988,038 compared with DKK 3,474,080 the year before. Equity in the 2025 report amounted to DKK 14,533,038.

Source: annual report 2025, Danish Business Authority