Fondens formål er at være komplementar i kommanditselskaber, der investerer i aktier eller anparter eller tilsvarende værdipapirer, og/eller yder lån til eller på anden måde investerer i virksomheder, samt at udøve anden virksomhed, der efter bestyrelsens skøn er forbundet hermed, herunder udøvelse af administrations- eller rådgivningsopgaver, direkte eller indirekte, i forbindelse med sådanne investeringer. Fonden kan yde forrentede lån op til Fondens til enhver tid værende grundkapital til et eller flere kommanditselskaber, hvori Fonden er komplementar, i hele kommanditselskabets/- ernes levetid, afdragsfrit indtil kommanditselskabets/-ernes ophør.
| Year | Revenue | Profit/Loss | Total Assets | Equity | Employees | Report |
|---|---|---|---|---|---|---|
| 2024 | 24.6 mio. | 46 t. | 12.8 mio. | 531 t. | 0 | |
CVR: 37456284
Compared to 112 companies in Trusters aktiviteter
Comparison is based on industry median values
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The financial health of FONDEN MIE 5 GP appears stable, with a gradual increase in revenue and profit over the past few years. In 2024, the company reported revenue of 24,632,128 DKK and a profit of 45,966 DKK, reflecting a consistent upward trend from 23,417,138 DKK in revenue and 40,296 DKK in profit in 2023. Despite a notable decline in revenue from 2021's peak of 35,245,173 DKK, the company has improved its profitability and equity position, which reached 531,253 DKK in 2024, up from 485,287 DKK the previous year. However, the profit margins remain thin, indicating potential concerns regarding operational efficiency and competitive positioning within the trust activities sector.
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