Selskabets formål er at eje og drive en portefølje af togmateriel med henblik på at udleje materiellet til jernbaneoperatører, der driver jernbanevirksomhed i Danmark.
| Year | Revenue | Profit/Loss | Total Assets | Equity | Employees | Report |
|---|---|---|---|---|---|---|
| 2025 | 139.9 mio. | 6 mio. | 320.2 mio. | 114.9 mio. | 0 | |
CVR: 38874675
Compared to 547 companies in Udlejning og leasing af andet materiel, udstyr og andre materielle aktiver, bortset fra til events
Comparison is based on industry median values
The financial health of Selskabet af 28.08.2017 67DD A/S appears stable, with a slight upward trend in revenue over the past three years, increasing from 119.5 million DKK in 2023 to 139.9 million DKK in 2025. Profitability has remained consistent, with profits rising from 5.6 million DKK in 2024 to nearly 6 million DKK in 2025, although they are down from a peak of 8.98 million DKK in 2022. The company's equity position has improved significantly, reaching 114.9 million DKK in 2025, indicating a strong capital base. However, the decline in profit margins from previous years raises concerns about operational efficiency. Overall, the company maintains a solid position within the rental and leasing industry, benefiting from a stable revenue stream and increasing equity.
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