Flex Funding EIF ApS: Financial statements 2025
CVR: 43398571
Flex Funding EIF ApS (CVR 43398571) has filed annual accounts for 2025. In 2025, the company reported a gross profit of DKK -26,720 and a net result of DKK 2,480,790 compared with DKK -10,172,955 the year before. Equity amounted to DKK 3,193,403. The solvency ratio was 61.1%.
- Gross Profit
- -26,720 kr.
- Profit/Loss
- 2,480,790 kr.
- Equity
- 3,193,403 kr.
- Total Assets
- 5,226,266 kr.
Development
| Year | Revenue | Gross Profit | Profit/Loss | Equity | Employees |
|---|---|---|---|---|---|
| 2025 | - | -27 t. | 2.5 mio. | 3.2 mio. | - |
| 2024 | - | -39 t. | -10.2 mio. | 713 t. | - |
| 2023 | - | -36 t. | -225 t. | 9.9 mio. | - |
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As of August 13, 2025, BDO Statsautoriseret Revisionspartnerselskab has been appointed auditor of Flex Funding EIF ApS.
As of August 13, 2025, BDO Holding VII, statsautoriseret revisionsaktieselskab has stepped down as auditor of Flex Funding EIF ApS.
As of July 7, 2025, Martin Nymark Hansen has left the board of directors of Flex Funding EIF ApS.
Flex Funding EIF ApS has published its annual report for 2024. Gross profit came to DKK -38,557, and the net result was DKK -10,172,955.
About Flex Funding EIF ApS
Flex Funding EIF ApS is a Danish company of the type Anpartsselskab based in København K, founded in 2022. The company is registered under the industry Anden finansiel formidling i.a.n.. The management consists of Søren Holst. The company is owned by FLEX FUNDING A/S. In 2025, the company reported a gross profit of DKK -26,720 and a net result of DKK 2,480,790 compared with DKK -10,172,955 the year before. Equity amounted to DKK 3,193,403.
