Loading company…
Riskpilot
← Back to search
Sign in
Get full access
CC ApS af 2020
APS
Active
CVR 41909013
Strandvejen 56
Day spa, sauna and steam bath activities · NACE 9623
Est. 2020
1 employees
Watchlist
Share
Download PDF
Full Risika report
Overview
Financials
People & ownership
Related companies
Revenue 2025
DKK 302K
+25% vs 2024
EBITDA margin
33.4%
+273% vs 2024
Equity ratio
39.7%
Financial strength
Net profit 2025
DKK 76K
+278% vs 2024
EBITDA — year on year
DKK millions
0M
0M
1M
1M
1M
0M
2021
0M
0%
2022
0M
0%
2023
0M
0%
2024
0M
0%
2025
Key figures
Annual report 2025
Revenue
DKK 302K
+25%
EBITDA
DKK 101K
+273%
Net profit
DKK 76K
+278%
Total assets
DKK 175K
+11%
Equity
DKK 70K
+1258%
Employees
1
—
Company information
Legal name
CC ApS af 2020
CVR number
41909013
Legal form
Anpartsselskab
NACE code
9623 · Day spa, sauna and steam bath activities
Founded
27. november 2020
Share capital
DKK 40.000
Employees
1 (FTE)
VAT registered
No
Audit selected
No
Last report
2025-12-31
Financial year
January – December
Signatory rights
Virksomheden tegnes af Direktionen
Company purpose
Virksomhedens formål er restitutionsfremmende foranstaltninger med tilknyttede aktiviteter.
Contact
Address
Strandvejen 56
Email
carsten73@outlook.dk
Risika for professionals
Risika provides regulated workflow tools for finance, procurement and compliance teams that need monitoring, alerts and an API.
Visit risika.com
Explore
Companies in Day spa, sauna and steam bath activities
Companies in Køge
All Denmark companies
Revenue
DKK millions
0M
0M
1M
1M
1M
0M
2021
0M
2022
0M
2023
0M
2024
0M
2025
EBITDA
DKK millions
0M
0M
1M
1M
1M
0M
2021
0M
2022
0M
2023
0M
2024
0M
2025
Income statement
DKK thousands
Item
2021
2022
2023
2024
2025
Revenue
59
221
250
241
302
Staff expenses
-83
-173
-357
-214
-201
EBITDA
-24
48
-107
27
101
Depreciation & amort.
-0
-0
-0
-0
-0
EBIT
-24
48
-107
27
101
Net financials
-0
-0
-1
-2
-3
Profit before tax
-24
48
-108
25
98
Tax
-5
11
-23
5
22
Net profit
-19
37
-85
20
76
Balance sheet
DKK thousands
Item
2021
2022
2023
2024
2025
Total assets
66
137
95
157
175
Equity
21
59
-26
-6
70
Long-term debt
0
0
0
0
0
Short-term debt
45
78
121
163
106
Total debt
45
78
121
163
106
Financial ratios
5-year trend
EBITDA margin
33.4%
This company
15.8%
Market median
+111% vs market
2021
2025
Equity ratio
39.7%
This company
38.2%
Market median
+4% vs market
2021
2025
Return on equity
108.6%
This company
18.4%
Market median
+490% vs market
2021
2025
Net profit margin
25.0%
This company
8.1%
Market median
+209% vs market
2021
2025
Asset turnover
1.72×
This company
1.12×
Market median
+54% vs market
2021
2025
Debt / equity
1.52×
This company
0.62×
Market median
-145% vs market
2021
2025
Annual reports & filings
Annual report 2025
Filed via CVR / Virk · Period 2025-01-01 – 2025-12-31
View
PDF
Annual report 2024
Filed via CVR / Virk · Period 2024-01-01 – 2024-12-31
View
PDF
Annual report 2023
Filed via CVR / Virk · Period 2023-01-01 – 2023-12-31
View
PDF
Annual report 2022
Filed via CVR / Virk · Period 2022-01-01 – 2022-12-31
View
PDF
Annual report 2021
Filed via CVR / Virk · Period 2020-12-01 – 2021-12-31
View
PDF
Management
Actively employed in the business
Name
Role
Member since
Age
Other directorships
MR
Malene Richter Christensen
Management
Management
2020
—
—
Board of directors
Non-executive oversight
No data on file.
Shareholders
As of last annual report
Shareholder
Type
Ownership
Votes
Since
Carsten Skøtt Christensen
Individual
100.0%
100.0%
2024
Beneficial ownership (UBO) data access is restricted in Denmark as of September 2025 per the EU 6th AML Directive.
Learn more
.
Company hierarchy
No registered parent or subsidiaries
Board network connections
Board members of CC ApS af 2020 also hold positions in
0
other companies.
Person
Role here
Other companies
Malene Richter Christensen
Management
0 companies