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 |
|---|---|---|---|---|---|---|
| 2024 | 137.1 mio. | 5.6 mio. | 302.7 mio. | 108.9 mio. | 0 | |
CVR: 38874675
Compared to 534 companies in Udlejning og leasing af andet materiel, udstyr og andre materielle aktiver, bortset fra til events
Comparison is based on industry median values
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The financial health of Selskabet af 28.08.2017 67DD A/S appears stable, with a slight increase in profit from 5,591,000 DKK in 2023 to 5,636,000 DKK in 2024, despite a decline in revenue from 119,528,000 DKK to 137,074,000 DKK. Revenue has shown a declining trend from a peak of 157,431,000 DKK in 2022, indicating potential challenges in maintaining sales momentum. The company's equity position has improved, rising from 103,242,000 DKK in 2023 to 108,878,000 DKK in 2024, suggesting a solid foundation. However, the declining revenue trend and relatively thin profit margins may raise concerns about long-term sustainability within the equipment leasing industry.
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