<?xml version="1.0" encoding="UTF-8"?><xbrl xmlns="http://www.xbrl.org/2003/instance" xmlns:f="http://xbrl.dcca.dk/sob" xmlns:b="http://xbrl.dcca.dk/entryBalanceSheetAccountFormIncomeStatementByNature" xmlns:h="http://xbrl.dcca.dk/mrv" xmlns:g="http://xbrl.dcca.dk/arr" xmlns:d="http://xbrl.dcca.dk/cmn" xmlns:e="http://xbrl.dcca.dk/fsa" xmlns:c="http://xbrl.dcca.dk/gsd" xmlns:xlink="http://www.w3.org/1999/xlink" xmlns:xbrli="http://www.xbrl.org/2003/instance" xmlns:iso4217="http://www.xbrl.org/2003/iso4217" xmlns:xbrldi="http://xbrl.org/2006/xbrldi" xmlns:link="http://www.xbrl.org/2003/linkbase" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xsi:schemaLocation="http://xbrl.dcca.dk/entryBalanceSheetAccountFormIncomeStatementByNature http://archprod.service.eogs.dk/taxonomy/20201001/entryDanishGAAPBalanceSheetAccountFormIncomeStatementByNatureIncludingManagementsReviewStatisticsAndTax20201001.xsd"><link:schemaRef xlink:type="simple" xlink:href="http://archprod.service.eogs.dk/taxonomy/20201001/entryDanishGAAPBalanceSheetAccountFormIncomeStatementByNatureIncludingManagementsReviewStatisticsAndTax20201001.xsd"/><c:InformationOnTypeOfSubmittedReport contextRef="c64">Årsrapport</c:InformationOnTypeOfSubmittedReport><c:IdentificationNumberCvrOfSubmittingEnterprise contextRef="c64">33771231</c:IdentificationNumberCvrOfSubmittingEnterprise><c:NameOfSubmittingEnterprise contextRef="c64">PricewaterhouseCoopers Statsautoriseret Revisionspartnerselskab</c:NameOfSubmittingEnterprise><c:AddressOfSubmittingEnterpriseStreetAndNumber contextRef="c64">Munkebjergvænget 1, 3. og 4. sal</c:AddressOfSubmittingEnterpriseStreetAndNumber><c:AddressOfSubmittingEnterprisePostcodeAndTown contextRef="c64">5230 Odense M</c:AddressOfSubmittingEnterprisePostcodeAndTown><c:ReportingPeriodStartDate contextRef="c64">2020-07-01</c:ReportingPeriodStartDate><c:PrecedingReportingPeriodStartDate contextRef="c64">2019-07-01</c:PrecedingReportingPeriodStartDate><c:ReportingPeriodEndDate contextRef="c64">2021-06-30</c:ReportingPeriodEndDate><c:PredingReportingPeriodEndDate contextRef="c64">2020-06-30</c:PredingReportingPeriodEndDate><c:IdentificationNumberCvrOfReportingEntity contextRef="c64">19757803</c:IdentificationNumberCvrOfReportingEntity><c:NameOfReportingEntity contextRef="c64">Dymak A/S</c:NameOfReportingEntity><c:AddressOfReportingEntityStreetName contextRef="c64">Holkebjergvej</c:AddressOfReportingEntityStreetName><c:AddressOfReportingEntityStreetBuildingIdentifier contextRef="c64">120</c:AddressOfReportingEntityStreetBuildingIdentifier><c:AddressOfReportingEntityPostCodeIdentifier contextRef="c64">5250</c:AddressOfReportingEntityPostCodeIdentifier><c:AddressOfReportingEntityDistrictName contextRef="c64">Odense SV</c:AddressOfReportingEntityDistrictName><c:RegisteredOfficeOfReportingEntity contextRef="c64">Odense</c:RegisteredOfficeOfReportingEntity><d:NameOfAuditFirm contextRef="c67">PricewaterhouseCoopers Statsautoriseret Revisionspartnerselskab</d:NameOfAuditFirm><d:IdentificationNumberCvrOfAuditFirm contextRef="c67">33771231</d:IdentificationNumberCvrOfAuditFirm><c:AddressOfAuditorStreetName contextRef="c67">Munkebjergvænget</c:AddressOfAuditorStreetName><c:AddressOfAuditorStreetBuildingIdentifier contextRef="c67">1</c:AddressOfAuditorStreetBuildingIdentifier><c:AddressOfAuditorPostCodeIdentifier contextRef="c67">5230</c:AddressOfAuditorPostCodeIdentifier><c:AddressOfAuditorDistrictName contextRef="c67">Odense M</c:AddressOfAuditorDistrictName><c:AddressOfAuditorCountry contextRef="c67">Danmark</c:AddressOfAuditorCountry><c:DateOfGeneralMeeting contextRef="c64">2021-08-20</c:DateOfGeneralMeeting><c:NameAndSurnameOfChairmanOfGeneralMeeting contextRef="c64">Claus Juul Bøgelund</c:NameAndSurnameOfChairmanOfGeneralMeeting><e:ClassOfReportingEntity contextRef="c64">Regnskabsklasse C, mellemstor virksomhed</e:ClassOfReportingEntity><d:TypeOfAuditorAssistance contextRef="c64">Revisionspåtegning</d:TypeOfAuditorAssistance><f:IdentificationOfApprovedAnnualReport contextRef="c64" xml:lang="da">Bestyrelse og direktion har dags dato behandlet og godkendt årsrapporten for regnskabsåret 1. juli 2020 - 30. juni 2021 for Dymak A/S.</f:IdentificationOfApprovedAnnualReport><f:IdentificationOfApprovedAnnualReport contextRef="c64" xml:lang="en">The Executive Board and Board of Directors have today considered and adopted the Annual Report of Dymak A/S for the financial year 1 July 2020 - 30 June 2021.</f:IdentificationOfApprovedAnnualReport><f:ConfirmationThatAnnualReportIsPresentedInAccordanceWithRequirementsProvidedForByLegislationAnyStandardsAndRequirementsProvidedByArticlesOfAssociationOrByAgreement contextRef="c64" xml:lang="da">Årsrapporten er aflagt i overensstemmelse med årsregnskabsloven.</f:ConfirmationThatAnnualReportIsPresentedInAccordanceWithRequirementsProvidedForByLegislationAnyStandardsAndRequirementsProvidedByArticlesOfAssociationOrByAgreement><f:ConfirmationThatAnnualReportIsPresentedInAccordanceWithRequirementsProvidedForByLegislationAnyStandardsAndRequirementsProvidedByArticlesOfAssociationOrByAgreement contextRef="c64" xml:lang="en">The Annual Report is prepared in accordance with the Danish Financial Statements Act.</f:ConfirmationThatAnnualReportIsPresentedInAccordanceWithRequirementsProvidedForByLegislationAnyStandardsAndRequirementsProvidedByArticlesOfAssociationOrByAgreement><f:ConfirmationThatFinancialStatementGivesTrueAndFairViewOfAssetsLiabilitiesEquityFinancialPositionAndResults contextRef="c64" xml:lang="da">Årsregnskabet og koncernregnskabet giver efter vores opfattelse et retvisende billede af selskabets og koncernens aktiver, passiver og finansielle stilling pr. 30. juni 2021 samt af resultatet af selskabets og koncernens aktiviteter og koncernens pengestrømme for 2020/21.</f:ConfirmationThatFinancialStatementGivesTrueAndFairViewOfAssetsLiabilitiesEquityFinancialPositionAndResults><f:ConfirmationThatFinancialStatementGivesTrueAndFairViewOfAssetsLiabilitiesEquityFinancialPositionAndResults contextRef="c64" xml:lang="en">In our opinion the Financial Statements and the Consolidated Financial Statements give a true and fair view of the financial position at 30 June 2021 of the Company and the Group and of the results of the Company and Group operations and of consolidated cash flows for 2020/21.</f:ConfirmationThatFinancialStatementGivesTrueAndFairViewOfAssetsLiabilitiesEquityFinancialPositionAndResults><f:RecommendationForApprovalOfAnnualReportByGeneralMeeting contextRef="c64" xml:lang="da">Årsrapporten indstilles til generalforsamlingens godkendelse.</f:RecommendationForApprovalOfAnnualReportByGeneralMeeting><f:RecommendationForApprovalOfAnnualReportByGeneralMeeting contextRef="c64" xml:lang="en">We recommend that the Annual Report be adopted at the Annual General Meeting.</f:RecommendationForApprovalOfAnnualReportByGeneralMeeting><f:PlaceOfSignatureOfStatement contextRef="c64">Odense</f:PlaceOfSignatureOfStatement><f:DateOfApprovalOfAnnualReport contextRef="c64">2021-08-20</f:DateOfApprovalOfAnnualReport><g:SignatureOfAuditorsDate contextRef="c64">2021-08-20</g:SignatureOfAuditorsDate><d:NameAndSurnameOfMemberOfExecutiveBoard contextRef="c83">Claus Juul Bøgelund</d:NameAndSurnameOfMemberOfExecutiveBoard><d:TitleOfMemberOfExecutiveBoard contextRef="c83">adm. direktør</d:TitleOfMemberOfExecutiveBoard><d:NameAndSurnameOfMemberOfExecutiveBoard contextRef="c84">Kristian Kristiansen</d:NameAndSurnameOfMemberOfExecutiveBoard><d:TitleOfMemberOfExecutiveBoard contextRef="c84">direktør</d:TitleOfMemberOfExecutiveBoard><d:NameAndSurnameOfMemberOfSupervisoryBoard contextRef="c68">Rolf Brynerssøn Harsløf</d:NameAndSurnameOfMemberOfSupervisoryBoard><d:TitleOfMemberOfSupervisoryBoard contextRef="c68">formand</d:TitleOfMemberOfSupervisoryBoard><d:NameAndSurnameOfMemberOfSupervisoryBoard contextRef="c69">Lisbeth Dau</d:NameAndSurnameOfMemberOfSupervisoryBoard><d:NameAndSurnameOfMemberOfSupervisoryBoard contextRef="c70">Claus Juul Bøgelund</d:NameAndSurnameOfMemberOfSupervisoryBoard><g:AddresseeOfAuditorsReportOnAuditedFinancialStatements contextRef="c64" xml:lang="da">Til kapitalejeren i Dymak A/S</g:AddresseeOfAuditorsReportOnAuditedFinancialStatements><g:AddresseeOfAuditorsReportOnAuditedFinancialStatements contextRef="c64" xml:lang="en">To the Shareholder of Dymak A/S</g:AddresseeOfAuditorsReportOnAuditedFinancialStatements><g:OpinionOnAuditedFinancialStatements contextRef="c64" xml:lang="da">Det er vores opfattelse, at koncernregnskabet og årsregnskabet giver et retvisende billede af koncernens og selskabets aktiver, passiver og finansielle stilling pr. 30. juni 2021 samt af resultatet af koncernens og selskabets aktiviteter og koncernens pengestrømme for regnskabsåret 1. juli 2020 - 30. juni 2021 i overensstemmelse med årsregnskabsloven.
</g:OpinionOnAuditedFinancialStatements><g:OpinionOnAuditedFinancialStatements contextRef="c64" xml:lang="en">In our opinion, the Consolidated Financial Statements and the Parent Company Financial Statements give a true and fair view of the financial position of the Group and the Parent Company at 30 June 2021 and of the results of the Group’s and the Parent Company’s operations and of consolidated cash flows for the financial year 1 July 2020 - 30 June 2021 in accordance with the Danish Financial Statements Act.
</g:OpinionOnAuditedFinancialStatements><g:IdentificationOfAuditedFinancialStatements contextRef="c64" xml:lang="da">Vi har revideret koncernregnskabet og årsregnskabet for Dymak A/S for regnskabsåret 1. juli 2020 - 30. juni 2021, der omfatter resultatopgørelse, balance, egenkapitalopgørelse og noter, herunder anvendt regnskabspraksis, for såvel koncernen som selskabet samt pengestrømsopgørelse for koncernen (”regnskabet”).
</g:IdentificationOfAuditedFinancialStatements><g:IdentificationOfAuditedFinancialStatements contextRef="c64" xml:lang="en">We have audited the Consolidated Financial Statements and the Parent Company Financial Statements of Dymak A/S for the financial year 1 July 2020 - 30 June 2021, which comprise income statement, balance sheet, statement of changes in equity and notes, including a summary of significant accounting policies, for both the Group and the Parent Company, as well as consolidated statement of cash flows (”the Financial Statements”).
</g:IdentificationOfAuditedFinancialStatements><g:DescriptionOfQualificationsOfAuditedFinancialStatements contextRef="c64" xml:lang="da">Vi har udført vores revision i overensstemmelse med internationale standarder om revision og de yderligere krav, der er gældende i Danmark. Vores ansvar ifølge disse standarder og krav er nærmere beskrevet i revisionspåtegningens afsnit ”Revisors ansvar for revisionen af regnskabet”. Vi er uafhængige af koncernen i overensstemmelse med internationale etiske regler for revisorer (IESBA’s Etiske regler) og de yderligere krav, der er gældende i Danmark, ligesom vi har opfyldt vores øvrige etiske forpligtelser i henhold til disse regler og krav. Det er vores opfattelse, at det opnåede revisionsbevis er tilstrækkeligt og egnet som grundlag for vores konklusion.
</g:DescriptionOfQualificationsOfAuditedFinancialStatements><g:DescriptionOfQualificationsOfAuditedFinancialStatements contextRef="c64" xml:lang="en">We conducted our audit in accordance with International Standards on Auditing (ISAs) and the additional requirements applicable in Denmark. Our responsibilities under those standards and requirements are further described in the ”Auditor’s responsibilities for the audit of the Financial Statements” section of our report. We are independent of the Group in accordance with the International Ethics Standards Board for Accountants’ Code of Ethics for Professional Accountants (IESBA Code) and the additional requirements applicable in Denmark, and we have fulfilled our other ethical responsibilities in accordance with these requirements. We believe that the audit evidence we have obtained is sufficient and appropriate to provide a basis for our opinion.
</g:DescriptionOfQualificationsOfAuditedFinancialStatements><g:StatementOnManagementsReviewAuditorsReportOnAuditedFinancialStatements contextRef="c64" xml:lang="da">Ledelsen er ansvarlig for ledelsesberetningen.

Vores konklusion om regnskabet omfatter ikke ledelsesberetningen, og vi udtrykker ingen form for konklusion med sikkerhed om ledelsesberetningen.

I tilknytning til vores revision af regnskabet er det vores ansvar at læse ledelsesberetningen og i den forbindelse overveje, om ledelsesberetningen er væsentligt inkonsistent med regnskabet eller vores viden opnået ved revisionen eller på anden måde synes at indeholde væsentlig fejlinformation.

Vores ansvar er derudover at overveje, om ledelsesberetningen indeholder krævede oplysninger i henhold til årsregnskabsloven.

Baseret på det udførte arbejde er det vores opfattelse, at ledelsesberetningen er i overensstemmelse med koncernregnskabet og årsregnskabet og er udarbejdet i overensstemmelse med årsregnskabslovens krav. Vi har ikke fundet væsentlig fejlinformation i ledelsesberetningen.
</g:StatementOnManagementsReviewAuditorsReportOnAuditedFinancialStatements><g:StatementOnManagementsReviewAuditorsReportOnAuditedFinancialStatements contextRef="c64" xml:lang="en">Management is responsible for Management’s Review.

Our opinion on the Financial Statements does not cover Management’s Review, and we do not express any form of assurance conclusion thereon.

In connection with our audit of the Financial Statements, our responsibility is to read Management’s Review and, in doing so, consider whether Management’s Review is materially inconsistent with the Financial Statements or our knowledge obtained during the audit, or otherwise appears to be materially misstated.

Moreover, it is our responsibility to consider whether Management’s Review provides the information required under the Danish Financials Statements Act.

Based on the work we have performed, in our view, Management’s Review is in accordance with the Consolidated Financial Statements and the Parent Company Financial Statements and has been prepared in accordance with the requirements of the Danish Financial Statements Act. We did not identify any material misstatement in Management’s Review.
</g:StatementOnManagementsReviewAuditorsReportOnAuditedFinancialStatements><g:StatementOfExecutiveAndSupervisoryBoardsResponsibilityForFinancialStatements contextRef="c64" xml:lang="da">Ledelsen har ansvaret for udarbejdelsen af et koncernregnskab og et årsregnskab, der giver et retvisende billede i overensstemmelse med årsregnskabsloven. Ledelsen har endvidere ansvaret for den interne kontrol, som ledelsen anser for nødvendig for at udarbejde et regnskab uden væsentlig fejlinformation, uanset om denne skyldes besvigelser eller fejl.

Ved udarbejdelsen af regnskabet er ledelsen ansvarlig for at vurdere koncernens og selskabets evne til at fortsætte driften; at oplyse om forhold vedrørende fortsat drift, hvor dette er relevant; samt at udarbejde regnskabet på grundlag af regnskabsprincippet om fortsat drift, medmindre ledelsen enten har til hensigt at likvidere koncernen eller selskabet, indstille driften eller ikke har andet realistisk alternativ end at gøre dette.
</g:StatementOfExecutiveAndSupervisoryBoardsResponsibilityForFinancialStatements><g:StatementOfExecutiveAndSupervisoryBoardsResponsibilityForFinancialStatements contextRef="c64" xml:lang="en">Management is responsible for the preparation of consolidated financial statements and parent company financial statements that give a true and fair view in accordance with the Danish Financial Statements Act, and for such internal control as Management determines is necessary to enable the preparation of financial statements that are free from material misstatement, whether due to fraud or error.

In preparing the Financial Statements, Management is responsible for assessing the Group’s and the Company’s ability to continue as a going concern, disclosing, as applicable, matters related to going concern and using the going concern basis of accounting in preparing the Financial Statements unless Management either intends to liquidate the Group or the Company or to cease operations, or has no realistic alternative but to do so.
</g:StatementOfExecutiveAndSupervisoryBoardsResponsibilityForFinancialStatements><g:StatementOfAuditorsResponsibilityForAuditAndAuditPerformed contextRef="c64" xml:lang="da">Vores mål er at opnå høj grad af sikkerhed for, om regnskabet som helhed er uden væsentlig fejlinformation, uanset om denne skyldes besvigelser eller fejl, og at afgive en revisionspåtegning med en konklusion. Høj grad af sikkerhed er et højt niveau af sikkerhed, men er ikke en garanti for, at en revision, der udføres i overensstemmelse med internationale standarder om revision og de yderligere krav, der er gældende i Danmark, altid vil afdække væsentlig fejlinformation, når sådan findes. Fejlinformationer kan opstå som følge af besvigelser eller fejl og kan betragtes som væsentlige, hvis det med rimelighed kan forventes, at de enkeltvis eller samlet har indflydelse på de økonomiske beslutninger, som brugerne træffer på grundlag af regnskabet.

Som led i en revision, der udføres i overensstemmelse med internationale standarder om revision og de yderligere krav, der er gældende i Danmark, foretager vi faglige vurderinger og opretholder professionel skepsis under revisionen. Herudover:

Identificerer og vurderer vi risikoen for væsentlig fejlinformation i regnskabet, uanset om denne skyldes besvigelser eller fejl, udformer og udfører revisionshandlinger som reaktion på disse risici samt opnår revisionsbevis, der er tilstrækkeligt og egnet til at danne grundlag for vores konklusion. Risikoen for ikke at opdage væsentlig fejlinformation forårsaget af besvigelser er højere end ved væsentlig fejlinformation forårsaget af fejl, idet besvigelser kan omfatte sammensværgelser, dokumentfalsk, bevidste udeladelser, vildledning eller tilsidesættelse af intern kontrol.

Opnår vi forståelse af den interne kontrol med relevans for revisionen for at kunne udforme revisionshandlinger, der er passende efter omstændighederne, men ikke for at kunne udtrykke en konklusion om effektiviteten af koncernens og selskabets interne kontrol.

Tager vi stilling til, om den regnskabspraksis, som er anvendt af ledelsen, er passende, samt om de regnskabsmæssige skøn og tilknyttede oplysninger, som ledelsen har udarbejdet, er rimelige.

Konkluderer vi, om ledelsens udarbejdelse af regnskabet på grundlag af regnskabsprincippet om fortsat drift er passende, samt om der på grundlag af det opnåede revisionsbevis er væsentlig usikkerhed forbundet med begivenheder eller forhold, der kan skabe betydelig tvivl om koncernens og selskabets evne til at fortsætte driften. Hvis vi konkluderer, at der er en væsentlig usikkerhed, skal vi i vores revisionspåtegning gøre opmærksom på oplysninger herom i regnskabet eller, hvis sådanne oplysninger ikke er tilstrækkelige, modificere vores konklusion. Vores konklusioner er baseret på det revisionsbevis, der er opnået frem til datoen for vores revisionspåtegning. Fremtidige begivenheder eller forhold kan dog medføre, at koncernen og selskabet ikke længere kan fortsætte driften.

Tager vi stilling til den samlede præsentation, struktur og indhold af regnskabet, herunder noteoplysningerne, samt om regnskabet afspejler de underliggende transaktioner og begivenheder på en sådan måde, at der gives et retvisende billede heraf.

Opnår vi tilstrækkeligt og egnet revisionsbevis for de finansielle oplysninger for virksomhederne eller forretningsaktiviteterne i koncernen til brug for at udtrykke en konklusion om koncernregnskabet. Vi er ansvarlige for at lede, føre tilsyn med og udføre koncernrevisionen. Vi er eneansvarlige for vores revisionskonklusion.

Vi kommunikerer med den øverste ledelse om blandt andet det planlagte omfang og den tidsmæssige placering af revisionen samt betydelige revisionsmæssige observationer, herunder eventuelle betydelige mangler i intern kontrol, som vi identificerer under revisionen.
</g:StatementOfAuditorsResponsibilityForAuditAndAuditPerformed><g:StatementOfAuditorsResponsibilityForAuditAndAuditPerformed contextRef="c64" xml:lang="en">Our objectives are to obtain reasonable assurance about whether the Financial Statements as a whole are free from material misstatement, whether due to fraud or error, and to issue an auditor’s report that includes our opinion. Reasonable assurance is a high level of assurance, but is not a guarantee that an audit conducted in accordance with ISAs and the additional requirements applicable in Denmark will always detect a material misstatement when it exists. Misstatements can arise from fraud or error and are considered material if, individually or in the aggregate, they could reasonably be expected to influence the economic decisions of users taken on the basis of these Financial Statements.

As part of an audit conducted in accordance with ISAs and the additional requirements applicable in Denmark, we exercise professional judgement and maintain professional scepticism throughout the audit. We also:

Identify and assess the risks of material misstatement of the Financial Statements, whether due to fraud or error, design and perform audit procedures responsive to those risks, and obtain audit evidence that is sufficient and appropriate to provide a basis for our opinion. The risk of not detecting a material misstatement resulting from fraud is higher than for one resulting from error as fraud may involve collusion, forgery, intentional omissions, misrepresentations, or the override of internal control.

Obtain an understanding of internal control relevant to the audit in order to design audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the Company’s and the Group’s internal control.

Evaluate the appropriateness of accounting policies used and the reasonableness of accounting estimates and related disclosures made by Management.

Conclude on the appropriateness of Management’s use of the going concern basis of accounting in preparing the Financial Statements and, based on the audit evidence obtained, whether a material uncertainty exists related to events or conditions that may cast significant doubt on the Group’s and the Company’s ability to continue as a going concern. If we conclude that a material uncertainty exists, we are required to draw attention in our auditor’s report to the related disclosures in the Financial Statements or, if such disclosures are inadequate, to modify our opinion. Our conclusions are based on the audit evidence obtained up to the date of our auditor’s report. However, future events or conditions may cause the Group and the Company to cease to continue as a going concern.

Evaluate the overall presentation, structure and contents of the Financial Statements, including the disclosures, and whether the Financial Statements represent the underlying transactions and events in a manner that gives a true and fair view.

Obtain sufficient appropriate audit evidence regarding the financial information of the entities or business activities within the Group to express an opinion on the Consolidated Financial Statements. We are responsible for the direction, supervision and performance of the group audit. We remain solely responsible for our audit opinion.

We communicate with those charged with governance regarding, among other matters, the planned scope and timing of the audit and significant audit findings, including any significant deficiencies in internal control that we identify during our audit.
</g:StatementOfAuditorsResponsibilityForAuditAndAuditPerformed><g:SignatureOfAuditorsPlace contextRef="c64">Odense</g:SignatureOfAuditorsPlace><g:SignatureOfAuditorsDate contextRef="c64">2021-08-20</g:SignatureOfAuditorsDate><d:NameOfAuditFirm contextRef="c67">PricewaterhouseCoopers Statsautoriseret Revisionspartnerselskab</d:NameOfAuditFirm><d:NameAndSurnameOfAuditor contextRef="c67">Mette Plambech</d:NameAndSurnameOfAuditor><d:DescriptionOfAuditor contextRef="c67">statsautoriseret revisor</d:DescriptionOfAuditor><d:IdentificationNumberOfAuditor contextRef="c67">mne34162</d:IdentificationNumberOfAuditor><h:InformationOnCalculationOfKeyFiguresAndFinancialRatios contextRef="c64" xml:lang="da">Set over en 5-årig periode kan koncernens udvikling beskrives ved følgende hoved- og nøgletal:





</h:InformationOnCalculationOfKeyFiguresAndFinancialRatios><h:InformationOnCalculationOfKeyFiguresAndFinancialRatios contextRef="c64" xml:lang="en">Seen over a five-year period, the development of the Group is described by the following financial highlights:





</h:InformationOnCalculationOfKeyFiguresAndFinancialRatios><e:GrossResult contextRef="c611" unitRef="u6" decimals="-3">48737000</e:GrossResult><e:GrossResult contextRef="c614" unitRef="u6" decimals="-3">40551000</e:GrossResult><e:GrossResult contextRef="c617" unitRef="u6" decimals="-3">36480000</e:GrossResult><e:ProfitLossFromOrdinaryOperatingActivities contextRef="c611" unitRef="u6" decimals="-3">15372000</e:ProfitLossFromOrdinaryOperatingActivities><e:ProfitLossFromOrdinaryOperatingActivities contextRef="c614" unitRef="u6" decimals="-3">11397000</e:ProfitLossFromOrdinaryOperatingActivities><e:ProfitLossFromOrdinaryOperatingActivities contextRef="c617" unitRef="u6" decimals="-3">7886000</e:ProfitLossFromOrdinaryOperatingActivities><e:ResultsFromNetFinancials contextRef="c64" unitRef="u6" decimals="-3">-3920000</e:ResultsFromNetFinancials><e:ResultsFromNetFinancials contextRef="c609" unitRef="u6" decimals="-3">-333000</e:ResultsFromNetFinancials><e:ResultsFromNetFinancials contextRef="c611" unitRef="u6" decimals="-3">371000</e:ResultsFromNetFinancials><e:ResultsFromNetFinancials contextRef="c614" unitRef="u6" decimals="-3">-1254000</e:ResultsFromNetFinancials><e:ResultsFromNetFinancials contextRef="c617" unitRef="u6" decimals="-3">677000</e:ResultsFromNetFinancials><e:ProfitLoss contextRef="c611" unitRef="u6" decimals="-3">14091000</e:ProfitLoss><e:ProfitLoss contextRef="c614" unitRef="u6" decimals="-3">10188000</e:ProfitLoss><e:ProfitLoss contextRef="c617" unitRef="u6" decimals="-3">8443000</e:ProfitLoss><e:Assets contextRef="c613" unitRef="u6" decimals="-3">66126000</e:Assets><e:Assets contextRef="c616" unitRef="u6" decimals="-3">57793000</e:Assets><e:Assets contextRef="c619" unitRef="u6" decimals="-3">45799000</e:Assets><e:Equity contextRef="c613" unitRef="u6" decimals="-3">40222000</e:Equity><e:Equity contextRef="c616" unitRef="u6" decimals="-3">26881000</e:Equity><e:Equity contextRef="c619" unitRef="u6" decimals="-3">17743000</e:Equity><e:AverageNumberOfEmployees contextRef="c611" unitRef="u2" decimals="INF">100</e:AverageNumberOfEmployees><e:AverageNumberOfEmployees contextRef="c614" unitRef="u2" decimals="INF">92</e:AverageNumberOfEmployees><e:AverageNumberOfEmployees contextRef="c617" unitRef="u2" decimals="INF">82</e:AverageNumberOfEmployees><h:ReturnOnCapitalEmployed contextRef="c64" unitRef="u2" decimals="1">23</h:ReturnOnCapitalEmployed><h:ReturnOnCapitalEmployed contextRef="c609" unitRef="u2" decimals="1">30.4</h:ReturnOnCapitalEmployed><h:ReturnOnCapitalEmployed contextRef="c611" unitRef="u2" decimals="1">23.2</h:ReturnOnCapitalEmployed><h:ReturnOnCapitalEmployed contextRef="c614" unitRef="u2" decimals="1">19.7</h:ReturnOnCapitalEmployed><h:ReturnOnCapitalEmployed contextRef="c617" unitRef="u2" decimals="1">17.2</h:ReturnOnCapitalEmployed><h:EquityRatio contextRef="c64" unitRef="u2" decimals="1">23</h:EquityRatio><h:EquityRatio contextRef="c609" unitRef="u2" decimals="1">48.7</h:EquityRatio><h:EquityRatio contextRef="c611" unitRef="u2" decimals="1">60.8</h:EquityRatio><h:EquityRatio contextRef="c614" unitRef="u2" decimals="1">46.5</h:EquityRatio><h:EquityRatio contextRef="c617" unitRef="u2" decimals="1">38.7</h:EquityRatio><h:ReturnOnEquity contextRef="c64" unitRef="u2" decimals="1">80.1</h:ReturnOnEquity><h:ReturnOnEquity contextRef="c609" unitRef="u2" decimals="1">46.6</h:ReturnOnEquity><h:ReturnOnEquity contextRef="c611" unitRef="u2" decimals="1">42</h:ReturnOnEquity><h:ReturnOnEquity contextRef="c614" unitRef="u2" decimals="1">45.7</h:ReturnOnEquity><h:ReturnOnEquity contextRef="c617" unitRef="u2" decimals="1">50.6</h:ReturnOnEquity><h:ManagementsReview contextRef="c64" xml:lang="da">Udvikling i aktiviteter og økonomiske forhold
Koncernens bruttoresultat for regnskabsåret 1. juli 2020 - 30. juni 2021 var 81.471.447 kr. sammenlignet med 61.233.434 kr. sidste år, og koncernens resultat efter skat var 30.464.561 mod 17.945.475 sidste år. Resultatet er bedre end forventet, og ledelsen betragter årets resultat som tilfredsstillende.

Pr. 31. marts 2021 erhvervede Dymak A/S yderligere 20% af aktiekapitalen i Dymak USA, Inc, således at den samlede andel i Dymak USA, Inc. nu er 100%.
Udvikling i året
Koncernens resultatopgørelse for 2020/21 udviser et overskud på DKK 30.464.561, og koncernens balance pr. 30. juni 2021 udviser en egenkapital på DKK 39.226.522.
Usikkerhed ved indregning og måling
Der er ikke forekommet usikkerhed ved indregning og måling i årsrapporten.
Usædvanlige forhold
Der er ikke forekommet usikkerhed ved indregning og måling i årsrapporten.
Særlige risici
Øget geopolitisk spænding og IT-sikkerhed udgør generelt de største risici for Dymak i de kommende år. Risikoen søges begrænset ved forsat styrkelse af Supply Chain strukturen samt en konstant opdatering af IT-værktøjer globalt.

Specifikt for 2021/22 vil logistik samt lokale smitteudbrud i produktionslandene udfordrer koncernens dynamik og evne til at foretage hurtige justeringer ude på fabrikkerne.
Knowhow og forskning
Koncernens vigtigste ressource er de kompetente og motiverede medarbejdere.

8% af koncernens omkostninger allokeres til konceptinnovation, IT-investeringer og investeringer i medarbejdernes livslange læring.
Den forventede udvikling
For regnskabsåret 2021/22 forventes aktivitetsniveauet at stige med 80% - 100%, og der forventes et resultat væsentligt over indeværende år.
Begivenheder efter regnskabsårets afslutning
Der er ikke efter balancedagen indtruffet forhold, som har væsentlig indflydelse på bedømmelsen af årsrapporten.
Erklæring om virksomhedernes sociale ansvar
Dymak har først og fremmest ansvar for egne medarbejdere og deres familier. - Men når Dymak som virksomhed skaber et arbejdsmiljø som sikrer ”A Good Day at Work”, så bliver vi også som organisation bedre til at støtte op om virksomhedens eksterne ansvar – og det ønsker vi!


Koncernens væsentligste bidrag til FN´s verdensmål ligger under UN-13, hvor virksomheden aktivt søger at fremme salget af miljøvenlige materialer. Herudover er koncernens eget direkte CO2-aftryk fra egne kontorer samt rejseaktivitet udlignet via investering i nye solfangeranlæg i Europa.



Dymak er BSCI / BEPI certificeret gennem Amfori / Belgien. August 2020.

Dymak er FSC-certificeret (Chain of Custody). Audit af Bureau Veritas september 2021
Redegørelse for kønsmæssig sammensætning
Dymak ønsker at være en inkluderende arbejdsplads uden forskelsbehandling, og hvor ansatte ansættes udelukkende på grundlag af deres færdigheder. I koncernens bestyrelse er det underrepræsenterede køn 33%, og i selskabets ledelsesteam, der består af 15 ledere globalt, udgør det underrepræsenterede køn 46%.</h:ManagementsReview><h:ManagementsReview contextRef="c64" xml:lang="en">Development in activities and economic conditions
The Group's gross profit for the financial year July 1, 2019 - June 30, 2020 was 81,471,447 dkk compared to 61,233,434 dkk last year, and the Group's profit after tax was 30,464,561 dkk compared to 17,945,475 dkk last year. The result is as expected, and the management considers the result for the year to be satisfactory.

As of 31th March 2021, Dymak A/S acquired another 20% of the share capital in Dymak USA, Inc, taking its total share in Dymak A/S to 100%. .
Development in the year
The income statement of the Group for 2020/21 shows a profit of DKK 30,464,561, and at 30 June 2021 the balance sheet of the Group shows equity of DKK 39,226,522.
Uncertainty with recognition and measurement
Recognition and measurement in the Annual Report have not been subject to any uncertainty.
Exceptional circumstances
Recognition and measurement in the Annual Report have not been subject to any uncertainty.
Special risks
Increased geopolitical tension and IT security generally pose the greatest risks for Dymak in the coming years. The risk is sought to be limited by continued strengthening of the Supply Chain structure as well as a constant updating of IT tools globally.

Specifically for 2021/22, logistics as well as local outbreaks in the production countries will challenge the group's dynamics and ability to make rapid adjustments in the factories.
Knowhow and Research
The Group's most important resource is its highly skilled and motivated employees. 

8% of the Group's cost base is allocated to innovation / knowhow, and part of this investment funds lifelong learning of employees.
The expected development
For the 2021/22 financial year, the activity level is expected to increase 80% - 100% , and the result is expected to exceed the current year.
Events after the end of the financial year
No events materially affecting the assessment of the Annual Report have occurred after the balance sheet date.
Statement of corporate social responsibility
Dymak is primarily responsible for its own employees and their families. - But when Dymak as a company creates a working environment that ensures "A Good Day at Work", we as an organization also become better at supporting the company's external responsibilities - and we want that!

The Group's most significant contribution to the UN's global goals lies under UN-13, where the company actively seeks to promote the sale of environmentally friendly materials. In addition, the Group's own direct CO2 footprint from its own offices and travel activity have been offset through investment in new solar collector systems in Europe. 

Dymak is BSCI / BEPI certified through Amfori / Belgium. August 2020.

Dymak is FSC-certified (Chain of Custody). Audit by Bureau Veritas September 2021
Statement on gender composition
Dymak wants to be an inclusive workplace without discrimination and where employees are hired solely on the basis of their skills. 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Koncernens udviklingsprojekter består af udvikling og implementering af web-baseret IT løsning og databaser til brug for opsamling og behandling af formålsbestemte datamængder. Omkostningerne indeholder eksterne udviklingsomkostninger og værdisættes i henhold til den forventede understøttelse af koncernens hovedaktivitet.</e:fInformationOnSpecificPrerequisitesRegardingDevelopmentProjects><e:fInformationOnSpecificPrerequisitesRegardingDevelopmentProjects contextRef="c64" xml:lang="en">
The Group's development projects consist of the development and implementation of a web-based IT solution and databases for use in the collection and processing of purposive data volumes. The costs include external development costs and are valued in accordance with the expected support of the Group's principal activity of the enterprise</e:fInformationOnSpecificPrerequisitesRegardingDevelopmentProjects><e:DisclosureOfIntangibleAssets contextRef="c64" xml:lang="da">Afskrives over 5 år 3 år  </e:DisclosureOfIntangibleAssets><e:PropertyPlantAndEquipmentGross contextRef="c188" unitRef="u6" decimals="0">14914898</e:PropertyPlantAndEquipmentGross><e:AdditionsToPropertyPlantAndEquipment contextRef="c189" unitRef="u6" decimals="0">1911985</e:AdditionsToPropertyPlantAndEquipment><e:DisposalsOfPropertyPlantAndEquipment contextRef="c189" unitRef="u6" decimals="0">-292216</e:DisposalsOfPropertyPlantAndEquipment><e:PropertyPlantAndEquipmentGross contextRef="c190" unitRef="u6" decimals="0">16534667</e:PropertyPlantAndEquipmentGross><e:AccumulatedImpairmentLossesAndDepreciationOfPropertyPlantAndEquipment contextRef="c188" unitRef="u6" decimals="0">13022107</e:AccumulatedImpairmentLossesAndDepreciationOfPropertyPlantAndEquipment><e:DepreciationOfPropertyPlantAndEquipment contextRef="c189" unitRef="u6" decimals="0">953028</e:DepreciationOfPropertyPlantAndEquipment><e:ImpairmentLossesAndDepreciationOfDisposedPropertyPlantAndEquipment contextRef="c189" unitRef="u6" decimals="0">141280</e:ImpairmentLossesAndDepreciationOfDisposedPropertyPlantAndEquipment><e:AccumulatedImpairmentLossesAndDepreciationOfPropertyPlantAndEquipment contextRef="c190" unitRef="u6" decimals="0">14116415</e:AccumulatedImpairmentLossesAndDepreciationOfPropertyPlantAndEquipment><e:PropertyPlantAndEquipment contextRef="c190" unitRef="u6" decimals="0">2418252</e:PropertyPlantAndEquipment><e:DisclosureOfPropertyPlantAndEquipment contextRef="c64" xml:lang="da">Afskrives over 3-10 år  </e:DisclosureOfPropertyPlantAndEquipment><e:DisclosureOfPropertyPlantAndEquipment contextRef="c64" xml:lang="en">Depreciated over 3-10 years</e:DisclosureOfPropertyPlantAndEquipment><e:InvestmentsGross contextRef="c856" unitRef="u6" decimals="0">12893077</e:InvestmentsGross><e:InvestmentsGross contextRef="c857" unitRef="u6" decimals="0">10960099</e:InvestmentsGross><e:AdditionsToInvestments contextRef="c549" unitRef="u6" decimals="0">8876000</e:AdditionsToInvestments><e:AdditionsToInvestments contextRef="c550" unitRef="u6" decimals="0">1940709</e:AdditionsToInvestments><e:DisposalsOfInvestments contextRef="c549" unitRef="u6" decimals="0">0</e:DisposalsOfInvestments><e:DisposalsOfInvestments contextRef="c550" unitRef="u6" decimals="0">-7731</e:DisposalsOfInvestments><e:InvestmentsGross contextRef="c858" unitRef="u6" decimals="0">21769077</e:InvestmentsGross><e:InvestmentsGross contextRef="c1310" unitRef="u6" decimals="0">12893077</e:InvestmentsGross><e:AccumulatedRevaluationsOfInvestments contextRef="c856" unitRef="u6" decimals="0">6862453</e:AccumulatedRevaluationsOfInvestments><e:AccumulatedRevaluationsOfInvestments contextRef="c857" unitRef="u6" decimals="0">8142736</e:AccumulatedRevaluationsOfInvestments><e:OtherAdjustmentsRelatedToInvestments contextRef="c549" unitRef="u6" decimals="0">0</e:OtherAdjustmentsRelatedToInvestments><e:OtherAdjustmentsRelatedToInvestments contextRef="c550" unitRef="u6" decimals="0">-682</e:OtherAdjustmentsRelatedToInvestments><e:IncreaseDecreaseOfRevaluationsAndDevaluationsOfInvestmentsThroughNetExchangeDifferences contextRef="c549" unitRef="u6" decimals="0">-610521</e:IncreaseDecreaseOfRevaluationsAndDevaluationsOfInvestmentsThroughNetExchangeDifferences><e:IncreaseDecreaseOfRevaluationsAndDevaluationsOfInvestmentsThroughNetExchangeDifferences contextRef="c550" unitRef="u6" decimals="0">20605</e:IncreaseDecreaseOfRevaluationsAndDevaluationsOfInvestmentsThroughNetExchangeDifferences><e:ProfitLossRelatedToInvestments contextRef="c549" unitRef="u6" decimals="0">24071040</e:ProfitLossRelatedToInvestments><e:ProfitLossRelatedToInvestments contextRef="c550" unitRef="u6" decimals="0">9069066</e:ProfitLossRelatedToInvestments><e:DividendIncomeRelatedToInvestments contextRef="c549" unitRef="u6" decimals="0">-11143513</e:DividendIncomeRelatedToInvestments><e:DividendIncomeRelatedToInvestments contextRef="c550" unitRef="u6" decimals="0">-9385239</e:DividendIncomeRelatedToInvestments><e:OtherChangesInEquityOfInvestmentsNet contextRef="c549" unitRef="u6" decimals="0">0</e:OtherChangesInEquityOfInvestmentsNet><e:OtherChangesInEquityOfInvestmentsNet contextRef="c550" unitRef="u6" decimals="0">-176422</e:OtherChangesInEquityOfInvestmentsNet><e:AmortisationOfGoodwillOfInvestments contextRef="c549" unitRef="u6" decimals="0">-3523267</e:AmortisationOfGoodwillOfInvestments><e:AmortisationOfGoodwillOfInvestments contextRef="c550" unitRef="u6" decimals="0">-47143</e:AmortisationOfGoodwillOfInvestments><e:ChangeInIntercompanyProfitsOnInventoriesOfInvestments contextRef="c549" unitRef="u6" decimals="0">-572909</e:ChangeInIntercompanyProfitsOnInventoriesOfInvestments><e:ChangeInIntercompanyProfitsOnInventoriesOfInvestments contextRef="c550" unitRef="u6" decimals="0">-760468</e:ChangeInIntercompanyProfitsOnInventoriesOfInvestments><e:AccumulatedRevaluationsOfInvestments contextRef="c858" unitRef="u6" decimals="0">15083283</e:AccumulatedRevaluationsOfInvestments><e:AccumulatedRevaluationsOfInvestments contextRef="c1310" unitRef="u6" decimals="0">6862453</e:AccumulatedRevaluationsOfInvestments><e:DisclosureOfInvestments contextRef="c64" xml:lang="da">
Resterende positivt forskelsbeløb, der indgår i ovenstående regnskabsmæssige værdi, udgør 30. juni   Ikke lovkrav 
141.427
188.570</e:DisclosureOfInvestments><e:DisclosureOfInvestments contextRef="c64" xml:lang="en">
Remaining positive difference included in the above carrying amount at 30 June 

</e:DisclosureOfInvestments><e:RelatedEntityName contextRef="c243">Dymak Holland BV</e:RelatedEntityName><e:RelatedEntityRegisteredOffice contextRef="c243">Holland</e:RelatedEntityRegisteredOffice><e:ShareHeldByEntityOrConsolidatedEnterprisesInRelatedEntity contextRef="c263" unitRef="u2" decimals="1">100</e:ShareHeldByEntityOrConsolidatedEnterprisesInRelatedEntity><e:RelatedEntityName contextRef="c244">Dymak Xiamen</e:RelatedEntityName><e:RelatedEntityRegisteredOffice contextRef="c244">Kina</e:RelatedEntityRegisteredOffice><e:ShareHeldByEntityOrConsolidatedEnterprisesInRelatedEntity contextRef="c264" unitRef="u2" decimals="1">100</e:ShareHeldByEntityOrConsolidatedEnterprisesInRelatedEntity><e:RelatedEntityName contextRef="c245">Danflora</e:RelatedEntityName><e:RelatedEntityRegisteredOffice contextRef="c245">Kina</e:RelatedEntityRegisteredOffice><e:ShareHeldByEntityOrConsolidatedEnterprisesInRelatedEntity contextRef="c265" unitRef="u2" decimals="1">70</e:ShareHeldByEntityOrConsolidatedEnterprisesInRelatedEntity><e:RelatedEntityName contextRef="c246">Dymak India Limited</e:RelatedEntityName><e:RelatedEntityRegisteredOffice contextRef="c246">Indien</e:RelatedEntityRegisteredOffice><e:ShareHeldByEntityOrConsolidatedEnterprisesInRelatedEntity contextRef="c266" unitRef="u2" decimals="1">80</e:ShareHeldByEntityOrConsolidatedEnterprisesInRelatedEntity><e:RelatedEntityName contextRef="c247">Dymak USA Inc.</e:RelatedEntityName><e:RelatedEntityRegisteredOffice contextRef="c247">USA</e:RelatedEntityRegisteredOffice><e:ShareHeldByEntityOrConsolidatedEnterprisesInRelatedEntity contextRef="c267" unitRef="u2" decimals="1">100</e:ShareHeldByEntityOrConsolidatedEnterprisesInRelatedEntity><e:RelatedEntityName contextRef="c248">Dymak Limited</e:RelatedEntityName><e:RelatedEntityRegisteredOffice contextRef="c248">England</e:RelatedEntityRegisteredOffice><e:ShareHeldByEntityOrConsolidatedEnterprisesInRelatedEntity contextRef="c268" unitRef="u2" decimals="1">100</e:ShareHeldByEntityOrConsolidatedEnterprisesInRelatedEntity><e:InvestmentsGross contextRef="c209" unitRef="u6" decimals="0">0</e:InvestmentsGross><e:InvestmentsGross contextRef="c942" unitRef="u6" decimals="0">0</e:InvestmentsGross><e:AdditionsToInvestments contextRef="c210" unitRef="u6" decimals="0">1001880</e:AdditionsToInvestments><e:AdditionsToInvestments contextRef="c943" unitRef="u6" decimals="0">1001880</e:AdditionsToInvestments><e:InvestmentsGross contextRef="c211" unitRef="u6" decimals="0">1001880</e:InvestmentsGross><e:InvestmentsGross contextRef="c944" unitRef="u6" decimals="0">1001880</e:InvestmentsGross><e:ExplanationOfPrepayments contextRef="c64" xml:lang="da">Periodeafgrænsningsposter udgøres af forudbetalte omkostninger.</e:ExplanationOfPrepayments><e:ExplanationOfPrepayments contextRef="c64" xml:lang="en">Prepayments consist of prepaid expenses.</e:ExplanationOfPrepayments><e:ProfitLoss contextRef="c107" unitRef="u6" decimals="0">0</e:ProfitLoss><e:ProfitLoss contextRef="c108" unitRef="u6" decimals="0">20000000</e:ProfitLoss><e:ProfitLoss contextRef="c370" unitRef="u6" decimals="0">0</e:ProfitLoss><e:ProfitLoss contextRef="c371" unitRef="u6" decimals="0">20000000</e:ProfitLoss><e:ProfitLoss contextRef="c93" unitRef="u6" decimals="0">13000000</e:ProfitLoss><e:ProfitLoss contextRef="c94" unitRef="u6" decimals="0">15000000</e:ProfitLoss><e:ProfitLoss contextRef="c366" unitRef="u6" decimals="0">13000000</e:ProfitLoss><e:ProfitLoss contextRef="c367" unitRef="u6" decimals="0">15000000</e:ProfitLoss><e:ProfitLoss contextRef="c99" unitRef="u6" decimals="0">0</e:ProfitLoss><e:ProfitLoss contextRef="c100" unitRef="u6" decimals="0">0</e:ProfitLoss><e:ProfitLoss contextRef="c374" unitRef="u6" decimals="0">12307488</e:ProfitLoss><e:ProfitLoss contextRef="c375" unitRef="u6" decimals="0">-1300888</e:ProfitLoss><e:ProfitLoss contextRef="c383" unitRef="u6" decimals="0">2331508</e:ProfitLoss><e:ProfitLoss contextRef="c382" unitRef="u6" decimals="0">1402356</e:ProfitLoss><e:ProfitLoss contextRef="c385" unitRef="u6" decimals="0">0</e:ProfitLoss><e:ProfitLoss contextRef="c384" unitRef="u6" decimals="0">0</e:ProfitLoss><e:ProfitLoss contextRef="c105" unitRef="u6" decimals="0">15133053</e:ProfitLoss><e:ProfitLoss contextRef="c106" unitRef="u6" decimals="0">-18456881</e:ProfitLoss><e:ProfitLoss contextRef="c380" unitRef="u6" decimals="0">2825573</e:ProfitLoss><e:ProfitLoss contextRef="c381" unitRef="u6" decimals="0">-17156000</e:ProfitLoss><e:DisclosureOfOtherProvisions contextRef="c64" xml:lang="da">Hensættelse til udskudt skat 1. juli
2.050.659
701.281
2.050.659
701.281
Årets indregnede beløb i resultatopgørelsen
73.997
1.484.896
73.997
1.484.896
Årets indregnede beløb på egenkapitalen   (residual) 
112.827
-135.518
112.827
-135.518
Hensættelse til udskudt skat 30. juni
2.237.483
2.050.659
2.237.483
2.050.659</e:DisclosureOfOtherProvisions><e:DisclosureOfOtherProvisions contextRef="c64" xml:lang="en">Provision for deferred tax at 1 July




Amounts recognised in the income statement for the year




Amounts recognised in equity for the year




Provision for deferred tax at 30 June</e:DisclosureOfOtherProvisions><e:AdjustmentsOfInterestAndSimilarIncomes contextRef="c64" unitRef="u6" decimals="0">-178220</e:AdjustmentsOfInterestAndSimilarIncomes><e:AdjustmentsOfInterestAndSimilarIncomes contextRef="c609" unitRef="u6" decimals="0">-1716059</e:AdjustmentsOfInterestAndSimilarIncomes><e:AdjustmentsfInterestAndSimilarExpenses contextRef="c64" unitRef="u6" decimals="0">4098113</e:AdjustmentsfInterestAndSimilarExpenses><e:AdjustmentsfInterestAndSimilarExpenses contextRef="c609" unitRef="u6" decimals="0">2048834</e:AdjustmentsfInterestAndSimilarExpenses><e:DepreciationAmortisationExpenseAndImpairmentLossesOfPropertyPlantAndEquipmentAndIntangibleAssets contextRef="c64" unitRef="u6" decimals="0">4056647</e:DepreciationAmortisationExpenseAndImpairmentLossesOfPropertyPlantAndEquipmentAndIntangibleAssets><e:DepreciationAmortisationExpenseAndImpairmentLossesOfPropertyPlantAndEquipmentAndIntangibleAssets contextRef="c609" unitRef="u6" decimals="0">2993197</e:DepreciationAmortisationExpenseAndImpairmentLossesOfPropertyPlantAndEquipmentAndIntangibleAssets><e:AdjustmentsOfTaxExpense contextRef="c64" unitRef="u6" decimals="0">4854803</e:AdjustmentsOfTaxExpense><e:AdjustmentsOfTaxExpense contextRef="c609" unitRef="u6" decimals="0">4733852</e:AdjustmentsOfTaxExpense><e:OtherAdjustments contextRef="c64" unitRef="u6" decimals="0">-4620357</e:OtherAdjustments><e:OtherAdjustments contextRef="c609" unitRef="u6" decimals="0">20607</e:OtherAdjustments><e:DecreaseIncreaseInInventories contextRef="c64" unitRef="u6" decimals="0">-49155918</e:DecreaseIncreaseInInventories><e:DecreaseIncreaseInInventories contextRef="c609" unitRef="u6" decimals="0">1802347</e:DecreaseIncreaseInInventories><e:DecreaseIncreaseInReceivables contextRef="c64" unitRef="u6" decimals="0">-45206366</e:DecreaseIncreaseInReceivables><e:DecreaseIncreaseInReceivables contextRef="c609" unitRef="u6" decimals="0">-10541872</e:DecreaseIncreaseInReceivables><e:DecreaseIncreaseInTradePayables contextRef="c64" unitRef="u6" decimals="0">33325823</e:DecreaseIncreaseInTradePayables><e:DecreaseIncreaseInTradePayables contextRef="c609" unitRef="u6" decimals="0">10330120</e:DecreaseIncreaseInTradePayables><e:OtherAdjustmentsForDecreaseIncreaseInWorkingCapital contextRef="c64" unitRef="u6" decimals="0">400025</e:OtherAdjustmentsForDecreaseIncreaseInWorkingCapital><e:OtherAdjustmentsForDecreaseIncreaseInWorkingCapital contextRef="c609" unitRef="u6" decimals="0">-480474</e:OtherAdjustmentsForDecreaseIncreaseInWorkingCapital><e:AdjustmentsForDecreaseIncreaseInWorkingCapital contextRef="c64" unitRef="u6" decimals="0">-60636436</e:AdjustmentsForDecreaseIncreaseInWorkingCapital><e:AdjustmentsForDecreaseIncreaseInWorkingCapital contextRef="c609" unitRef="u6" decimals="0">1110121</e:AdjustmentsForDecreaseIncreaseInWorkingCapital><e:DisclosureOfContingentLiabilities contextRef="c64" xml:lang="da">Pant og sikkerhedsstillelse
Følgende aktiver er stillet til sikkerhed for bankforbindelser:
Virksomhedspant kr. 35.000.000 i simple fordringer, lagre af råvarer, halvfabrikata og færdigvarer, materiel- og immaterielle rettigheder med bogført værdi af
68.650.437
20.599.059
68.650.437
20.599.059
Leje- og leasingforpligtelser
Leasingforpligtelser fra operationel leasing. Samlede fremtidige leasingydelser:
Inden for 1 år
789.710
746.546
443.310
368.112
Mellem 1 og 5 år
1.098.916
726.314
557.360
290.945
Lejeforpligtelser, uopsigelighedsperiode 7 år.
10.354.370
10.157.917
10.354.370
10.157.917
Andre eventualforpligtelser
Koncernens selskaber hæfter solidarisk for skat af koncernens sambeskattede indkomst mv. Det samlede beløb for skyldig selskabsskat fremgår af årsrapporten for Bøgelund ApS, der er administrationsselskab i forhold til sambeskatningen. Koncernens selskaber hæfter endvidere solidarisk for danske kildeskatter i form af udbytteskat, royaltyskat og renteskat. Eventuelle senere korrektioner til selskabsskatter og kildeskatter kan medføre at selskabets hæftelse udgør et større beløb.</e:DisclosureOfContingentLiabilities><e:DisclosureOfContingentLiabilities contextRef="c64" xml:lang="en">Charges and security
The following assets have been placed as security with bankers 
Company charges registered to the totalling kr. 35.000.000, providing security on  accounts receivables, inventory, tangible and tangible assets at a total carrying amount of




Rental and lease obligations
Lease obligations under operating leases. Total future lease payments:
Within 1 year




Between 1 and 5 years




Lease obligations, period of non-terminability 7 years.




Other contingent liabilities
The Danish group companies are jointly and severally liable for tax on the jointly taxed incomes etc of the Danish
group. The total amount of corporation tax payable is disclosed in the Annual Report of Bøgelund ApS, which is the management company of the joint taxation purposes. Moreover, the Danish group companies are jointly and severally liable for Danish withholding taxes by way of dividend tax, tax on royalty payments and tax on unearned income. Any subsequent adjustments of corporation taxes and withholding taxes may increase the Company’s liability.</e:DisclosureOfContingentLiabilities><e:InformationOnRelatedEntities contextRef="c64" xml:lang="da">
Bestemmende indflydelse
Controlling interest



Bøgelund ApS
100 % ejerandel


Transaktioner
Transactions

Der har ikke i årets løb, bortset fra koncerninterne transaktioner og normalt ledelsesvederlag, været gennemført transaktioner med bestyrelse, direktion, ledende medarbejdere, væsentlige aktionærer, tilknyttede virksomheder eller andre nærtstående parter.</e:InformationOnRelatedEntities><e:InformationOnRelatedEntities contextRef="c64" xml:lang="en">There have been no transactions with the Supervisory Board, the Executive Board, senior officers, significant shareholders, group enterprises or other related parties, except for intercompany transactions and normal management remuneration.</e:InformationOnRelatedEntities><e:InformationOnConsolidatedFinancialStatements contextRef="c64" xml:lang="da">Selskabet indgår i koncernrapporten for moderselskabet
Bøgelund ApS  (største koncern udelad hvis samme som mindste)
Teglhøjen 20
Tommerup St
5690 Tommerup
Danmark
  (mindste koncern)
</e:InformationOnConsolidatedFinancialStatements><e:InformationOnConsolidatedFinancialStatements contextRef="c64" xml:lang="en">The Company is included in the Group Annual Report of the Parent Company of the largest and smallest group:</e:InformationOnConsolidatedFinancialStatements><e:InformationOnReportingClassOfEntity contextRef="c64" xml:lang="da">Årsrapporten for Dymak A/S for 2020/21 er udarbejdet i overensstemmelse med årsregnskabslovens bestemmelser  for mellemstore virksomheder i regnskabsklasse C.
Den anvendte regnskabspraksis er uændret i forhold til sidste år.
Koncern- og årsregnskab for 2020/21 er aflagt i DKK.</e:InformationOnReportingClassOfEntity><e:InformationOnReportingClassOfEntity contextRef="c64" xml:lang="en">The Annual Report of Dymak A/S for 2020/21 has been prepared in accordance with the provisions of the Danish Financial Statements Act applying to medium-sized enterprises of reporting class C.
The accounting policies applied remain unchanged from last year.
The Consolidated and Parent Company Financial Statements for 2020/21 are presented in DKK.</e:InformationOnReportingClassOfEntity><e:DescriptionOfGeneralMattersRelatedToRecognitionMeasurementAndChangesInAccountingPolicies contextRef="c64" xml:lang="da">Indtægter indregnes i resultatopgørelsen i takt med, at de indtjenes. Herudover indregnes værdireguleringer af finansielle aktiver og forpligtelser, der måles til dagsværdi eller amortiseret kostpris. Endvidere indregnes i resultatopgørelsen alle omkostninger, der er afholdt for at opnå årets indtjening, herunder afskrivninger, nedskrivninger og hensatte forpligtelser samt tilbageførsler som følge af ændrede regnskabsmæssige skøn af beløb, der tidligere har været indregnet i resultatopgørelsen.
Aktiver indregnes i balancen, når det er sandsynligt, at fremtidige økonomiske fordele vil tilflyde selskabet, og aktivets værdi kan måles pålideligt.
Forpligtelser indregnes i balancen, når det er sandsynligt, at fremtidige økonomiske fordele vil fragå selskabet, og forpligtelsens værdi kan måles pålideligt.
Ved første indregning måles aktiver og forpligtelser til kostpris. Efterfølgende måles aktiver og forpligtelser som beskrevet for hver enkelt regnskabspost nedenfor.</e:DescriptionOfGeneralMattersRelatedToRecognitionMeasurementAndChangesInAccountingPolicies><e:DescriptionOfGeneralMattersRelatedToRecognitionMeasurementAndChangesInAccountingPolicies contextRef="c64" xml:lang="en">Revenues are recognised in the income statement as earned. Furthermore, value adjustments of financial assets and liabilities measured at fair value or amortised cost are recognised. Moreover, all expenses incurred to achieve the earnings for the year are recognised in the income statement, including depreciation, amortisation, impairment losses and provisions as well as reversals due to changed accounting estimates of amounts that have previously been recognised in the income statement.
Assets are recognised in the balance sheet when it is probable that future economic benefits attributable to the asset will flow to the Company, and the value of the asset can be measured reliably.
Liabilities are recognised in the balance sheet when it is probable that future economic benefits will flow out of the Company, and the value of the liability can be measured reliably.
Assets and liabilities are initially measured at cost. Subsequently, assets and liabilities are measured as described for each item below.</e:DescriptionOfGeneralMattersRelatedToRecognitionMeasurementAndChangesInAccountingPolicies><e:InformationOnConsolidations contextRef="c64" xml:lang="da">Koncernregnskabet omfatter moderselskabet Dymak A/S samt virksomheder, hvori moderselskabet direkte eller indirekte besidder flertallet af stemmerettighederne, eller hvori moderselskabet gennem aktiebesiddelse eller på anden måde har en bestemmende indflydelse. Virksomheder, hvori koncernen besidder mellem 20% og 50% af stemmerettighederne og udøver betydelig men ikke bestemmende indflydelse, betragtes som associerede virksomheder.
Ved konsolideringen sammendrages poster af ensartet karakter. Koncerninterne indtægter og omkostninger, aktiebesiddelser, udbytter og mellemværender samt realiserede og urealiserede interne gevinster og tab ved transaktioner mellem de konsoliderede virksomheder elimineres.
Moderselskabets kapitalandele i de konsoliderede dattervirksomheder udlignes med moderselskabets andel af dattervirksomhedernes regnskabsmæssige indre værdi opgjort på det tidspunkt, hvor koncernforholdet blev etableret.
Virksomhedssammenslutninger</e:InformationOnConsolidations><e:InformationOnConsolidations contextRef="c64" xml:lang="en">The Consolidated Financial Statements comprise the Parent Company, Dymak A/S, and subsidiaries in which the Parent Company directly or indirectly holds more than 50% of the votes or in which the Parent Company, through share ownership or otherwise, exercises control. Enterprises in which the Group holds between 20% and 50% of the votes and exercises significant influence but not control are classified as associates.
On consolidation, items of a uniform nature are combined. Elimination is made of intercompany income and expenses, shareholdings, dividends and accounts as well as of realised and unrealised profits and losses on transactions between the consolidated enterprises.
The Parent Company’s investments in the consolidated subsidiaries are set off against the Parent Company’s share of the net asset value of subsidiaries stated at the time of consolidation.
Business combinations</e:InformationOnConsolidations><e:InformationOnMinorityInterests contextRef="c64" xml:lang="da">Minoritetsinteresser udgør en andel af koncernens samlede egenkapital. Årets resultat fordeles i resultatdisponeringen på den del, som kan henføres til minoriteterne og den del, som kan henføres til modervirksomhedens kapitalejere. Minoritetsinteresser indregnes til den regnskabsmæssige værdi  af de overtagne aktiver og forpligtelser på tidspunktet for erhvervelse af dattervirksomheder.
Virksomhedsovertagelser gennemført før den 1. juli 2018
Minoritetsinteresser indregnes til den regnskabsmæssige værdi af de overtagne aktiver og forpligtelser på tidspunktet for erhvervelse af dattervirksomheder.
Virksomhedsovertagelser gennemført den 1. juli 2018 eller senere
Ved første indregning måles minoritetsinteresser til minoritetsinteressernes forholdsmæssige andel af dagsværdien af de identificerede nettoaktiver i den overtagne virksomhed. Herved indregnes der alene goodwill vedrørende modervirksomhedens andel af den overtagne virksomhed.
Ved efterfølgende ændringer i minoritetsinteresser, hvor koncernen bevarer kontrollen med dattervirksomheden indregnes vederlaget direkte på egenkapitalen.</e:InformationOnMinorityInterests><e:InformationOnMinorityInterests contextRef="c64" xml:lang="en">Minority interests form part of the Group’s total equity. Upon distribution of net profit, net profit is broken down on the share attributable to minority interests and the share attributable to the shareholders of the Parent Company. Minority interests are recognised on the basis of a remeasurement of acquired assets and liabilities to fair value at the time of acquisition of subsidiaries.
Business acquisitions carried through before 1 July 2018
Minority interests are recognised at the carrying amounts of the acquired assets and liabilities at the time of acquisition of subsidiaries.
Business acquisitions carried through on or after 1 July 2018
Minority interests are initially measured at their proportionate share of the fair value of the acquired entity’s identifiable net assets. In this way, only goodwill related to the Parent Company’s share of the entity acquired is recognised.
On subsequent changes to minority interests where the Group retains control of the subsidiary, the consideration is recognised directly in equity.</e:InformationOnMinorityInterests><e:DescriptionOfMethodsOfForeignCurrencies contextRef="c64" xml:lang="da">Transaktioner i fremmed valuta omregnes til transaktionsdagens kurs. Valutakursdifferencer, der opstår mellem transaktionsdagens kurs og kursen på betalingsdagen, indregnes i resultatopgørelsen som en finansiel post. Hvis valutapositioner anses for sikring af fremtidige pengestrømme, indregnes værdireguleringerne direkte på egenkapitalen.
Tilgodehavender, gæld og andre monetære poster i fremmed valuta, som ikke er afregnet på balancedagen, måles til balancedagens valutakurs. Forskellen mellem balancedagens kurs og kursen på tidspunktet for tilgodehavendets eller gældens opståen indregnes i resultatopgørelsen under finansielle indtægter og omkostninger.
Anlægsaktiver, der er købt i fremmed valuta, måles til kursen på transaktionsdagen.</e:DescriptionOfMethodsOfForeignCurrencies><e:DescriptionOfMethodsOfForeignCurrencies contextRef="c64" xml:lang="en">Transactions in foreign currencies are translated at the exchange rates at the dates of transaction. Exchange differences arising due to differences between the transaction date rates and the rates at the dates of payment are recognised in financial income and expenses in the income statement. Where foreign exchange transactions are considered hedging of future cash flows, the value adjustments are recognised directly in equity.
Receivables, payables and other monetary items in foreign currencies that have not been settled at the balance sheet date are translated at the exchange rates at the balance sheet date. Any differences between the exchange rates at the balance sheet date and the rates at the time when the receivable or the debt arose are recognised in financial income and expenses in the income statement.
Fixed assets acquired in foreign currencies are measured at the transaction date rates.</e:DescriptionOfMethodsOfForeignCurrencies><e:InformationOnHedging contextRef="c64" xml:lang="da">Ændring i dagsværdien af finansielle instrumenter, der er klassificeret som og opfylder kriterierne for sikring af dagsværdien af et indregnet aktiv eller en indregnet forpligtelse, indregnes i resultatopgørelsen sammen med de ændringer i dagsværdien af det sikrede aktiv eller den sikrede forpligtelse, som kan henføres til den risiko, der er afdækket.
Ændring i dagsværdien af finansielle instrumenter, der er klassificeret som og opfylder betingelserne for sikring af forventede fremtidige transaktioner, indregnes på egenkapitalen under overført resultat for så vidt angår den effektive del af sikringen. Den ineffektive del indregnes i resultatopgørelsen. Resulterer den sikrede transaktion i et aktiv eller en forpligtelse, overføres det beløb, som er udskudt under egenkapitalen, fra egenkapitalen og indregnes i kostprisen for henholdsvis aktivet eller forpligtelsen. Resulterer den sikrede transaktion i en indtægt eller en omkostning, overføres det beløb, som er udskudt under egenkapitalen, fra egenkapitalen til resultatopgørelsen i den periode, hvor den sikrede transaktion indregnes. Beløbet indregnes i samme post som den sikrede transaktion.
Ændring i dagsværdien af finansielle instrumenter, der er klassificeret som og opfylder kriterierne for sikring af nettoinvesteringer i selvstændige udenlandske dattervirksomheder eller associerede virksomheder, indregnes direkte i egenkapitalen for så vidt angår den effektive del af sikringen, mens den ineffektive del indregnes i resultatopgørelsen.</e:InformationOnHedging><e:InformationOnHedging contextRef="c64" xml:lang="en">Changes in the fair values of financial instruments that are designated and qualify as fair value hedges of a recognised asset or a recognised liability are recognised in the income statement as are any changes in the fair value of the hedged asset or the hedged liability related to the hedged risk.
Changes in the fair values of derivative financial instruments that are designated and qualify as hedges of expected future transactions are recognised in retained earnings under equity as regards the effective portion of the hedge. The ineffective portion is recognised in the income statement. If the hedged transaction results in an asset or a liability, the amount deferred in equity is transferred from equity and recognised in the cost of the asset or the liability, respectively. If the hedged transaction results in an income or an expense, the amount deferred in equity is transferred from equity to the income statement in the period in which the hedged transaction is recognised. The amount is recognised in the same item as the hedged transaction.
Changes in the fair values of financial instruments that are designated and qualify as hedges of net investments in independent foreign subsidiaries or associates are recognised directly in equity as regards the effective portion of the hedge, whereas the ineffective portion is recognised in the income statement.</e:InformationOnHedging><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfCostOfSales contextRef="c64" xml:lang="da">Omkostninger til råvarer og hjælpematerialer indeholder det forbrug af råvarer og hjælpematerialer, der er anvendt for at opnå virksomhedens nettoomsætning.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfCostOfSales><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfCostOfSales contextRef="c64" xml:lang="en">Expenses for raw materials and consumables comprise the raw materials and consumables consumed to achieve revenue for the year.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfCostOfSales><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfExternalExpenses contextRef="c64" xml:lang="da">Andre eksterne omkostninger indeholder indirekte produktionsomkostninger og omkostninger til lokaler, salg og distribution samt kontorhold mv.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfExternalExpenses><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfExternalExpenses contextRef="c64" xml:lang="en">Other external expenses comprise indirect production costs and expenses for premises, sales and distribution as well as office expenses, etc.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfExternalExpenses><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfGrossProfitLoss contextRef="c64" xml:lang="da">Bruttofortjeneste opgøres med henvisning til årsregnskabslovens § 32 som et sammendrag af nettoomsætning, andre driftsindtægter, omkostninger til råvarer og hjælpematerialer og andre eksterne omkostninger.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfGrossProfitLoss><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfGrossProfitLoss contextRef="c64" xml:lang="en">With reference to section 32 of the Danish Financial Statements Act, gross profit/loss is calculated as a summary of revenue, other operating income, expenses for raw materials and consumables and other external expenses.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfGrossProfitLoss><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfEmployeeBenefitExpense contextRef="c64" xml:lang="da">Personaleomkostninger indeholder gager og lønninger samt lønafhængige omkostninger.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfEmployeeBenefitExpense><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfEmployeeBenefitExpense contextRef="c64" xml:lang="en">Staff expenses comprise wages and salaries as well as payroll expenses.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfEmployeeBenefitExpense><e:DescriptionOfMethodsOfImpairmentLossesAndDepreciation contextRef="c64" xml:lang="da">Af- og nedskrivninger indeholder årets af- og nedskrivninger af immaterielle og materielle anlægsaktiver.</e:DescriptionOfMethodsOfImpairmentLossesAndDepreciation><e:DescriptionOfMethodsOfImpairmentLossesAndDepreciation contextRef="c64" xml:lang="en">Amortisation, depreciation and impairment losses comprise amortisation, depreciation and impairment of intangible assets and property, plant and equipment.</e:DescriptionOfMethodsOfImpairmentLossesAndDepreciation><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfOtherOperatingIncomeAndExpenses contextRef="c64" xml:lang="da">Andre driftsindtægter og andre driftsomkostninger omfatter regnskabsposter af sekundær karakter i forhold til virksomhedernes hovedaktivitet, herunder avance og tab ved salg af immaterielle og materielle anlægsaktiver.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfOtherOperatingIncomeAndExpenses><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfOtherOperatingIncomeAndExpenses contextRef="c64" xml:lang="en">Other operating income and other operating expenses comprise items of a secondary nature to the main activities of the Group, including gains and losses on the sale of intangible assets and property, plant and equipment.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfOtherOperatingIncomeAndExpenses><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfFinanceIncomeAndExpenses contextRef="c64" xml:lang="da">Finansielle indtægter og omkostninger indregnes i resultatopgørelsen med de beløb, der vedrører regnskabsåret.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfFinanceIncomeAndExpenses><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfFinanceIncomeAndExpenses contextRef="c64" xml:lang="en">Financial income and expenses are recognised in the income statement at the amounts relating to the financial year.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfFinanceIncomeAndExpenses><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxExpenses contextRef="c64" xml:lang="da">Skat af årets resultat består af årets aktuelle skat og forskydning i udskudt skat og indregnes i resultatopgørelsen med den del, der kan henføres til årets resultat, og direkte på egenkapitalen med den del, der kan henføres til posteringer direkte på egenkapitalen.
Selskabet er sambeskattet med 100% ejede danske og udenlandske dattervirksomheder. Selskabsskatten fordeles mellem de sambeskattede selskaber i forhold til disses skattepligtige indkomster.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxExpenses><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxExpenses contextRef="c64" xml:lang="en">Tax for the year consists of current tax for the year and changes in deferred tax for the year. The tax attributable to the profit for the year is recognised in the income statement, whereas the tax attributable to equity transactions is recognised directly in equity.
The Company is jointly taxed with wholly owned Danish and foreign subsidiaries. The tax effect of the joint taxation is allocated to enterprises in proportion to their taxable incomes.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxExpenses><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfPropertyPlantAndEquipment contextRef="c64" xml:lang="da">Materielle anlægsaktiver måles til kostpris med fradrag af akkumulerede af- og nedskrivninger.
Kostpris omfatter anskaffelsesprisen og omkostninger direkte tilknyttet anskaffelsen indtil det tidspunkt, hvor aktivet er klar til at blive taget i brug.
Renteomkostninger på lån optaget direkte til finansiering af fremstilling af materielle anlægsaktiver indregnes i kostprisen over fremstillingsperioden.
Afskrivningsgrundlaget, der opgøres som kostpris reduceret med eventuel restværdi, fordeles lineært over aktivernes forventede brugstid, der udgør:
Andre anlæg, driftsmateriel og inventar 3-10 år

Restværdierne for anlægsaktiverne er fastsat til nul.
Afskrivningsperiode og restværdi revurderes årligt.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfPropertyPlantAndEquipment><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfPropertyPlantAndEquipment contextRef="c64" xml:lang="en">Property, plant and equipment are measured at cost less accumulated depreciation and less any accumulated impairment losses.
Cost comprises the cost of acquisition and expenses directly related to the acquisition up until the time when the asset is ready for use.
Interest expenses on loans raised directly for financing the construction of property, plant and equipment are recognised in cost over the period of construction.
Depreciation based on cost reduced by any residual value is calculated on a straight-line basis over the expected useful lives of the assets, which are:
Other fixtures and fittings, tools and equipment 3-10 years

The fixed assets’ residual values are determined at nil.
Depreciation period and residual value are reassessed annually.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfPropertyPlantAndEquipment><e:DescriptionOfMethodsOfAmortisationOfNoncurrentAssets contextRef="c64" xml:lang="da">Den regnskabsmæssige værdi af immaterielle og materielle anlægsaktiver gennemgås årligt for at afgøre, om der er indikation af værdiforringelse ud over det, som udtrykkes ved afskrivning.
Hvis dette er tilfældet, foretages nedskrivning til den lavere genindvindingsværdi.</e:DescriptionOfMethodsOfAmortisationOfNoncurrentAssets><e:DescriptionOfMethodsOfAmortisationOfNoncurrentAssets contextRef="c64" xml:lang="en">The carrying amounts of intangible assets and property, plant and equipment are reviewed on an annual basis to determine whether there is any indication of impairment other than that expressed by amortisation and depreciation.
If so, the asset is written down to its lower recoverable amount.</e:DescriptionOfMethodsOfAmortisationOfNoncurrentAssets><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisForInvestmentsInSubsidiariesAndAssociates contextRef="c64" xml:lang="da">Kapitalandele i dattervirksomheder indregnes og måles efter den indre værdis metode.
I balancen indregnes under posten “Kapitalandele i dattervirksomheder“ den forholdsmæssige ejerandel af virksomhedernes regnskabsmæssige indre værdi opgjort med udgangspunkt i dagsværdien af de identificerbare nettoaktiver på anskaffelsestidspunktet med fradrag eller tillæg af urealiserede koncerninterne avancer eller tab og med tillæg af resterende værdi af eventuelle merværdier og goodwill opgjort på tidspunktet for anskaffelsen af virksomhederne.
Den samlede nettoopskrivning af kapitalandele i dattervirksomheder henlægges via overskudsdisponeringen til “Reserve for nettoopskrivning efter den indre værdis metode“ under egenkapitalen. Reserven reduceres med udbytteudlodninger til moderselskabet og reguleres med andre egenkapitalbevægelser i dattervirksomhederne.
Dattervirksomheder med negativ regnskabsmæssig indre værdi indregnes til DKK 0. Hvis moderselskabet har en retslig eller en faktisk forpligtelse til at dække virksomhedens underbalance, indregnes en hensat forpligtelse hertil.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisForInvestmentsInSubsidiariesAndAssociates><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisForInvestmentsInSubsidiariesAndAssociates contextRef="c64" xml:lang="en">Investments in subsidiaries are recognised and measured under the equity method.
The item“Investments in subsidiaries” in the balance sheet include the proportionate ownership share of the net asset value of the enterprises calculated on the basis of the fair values of identifiable net assets at the time of acquisition with deduction or addition of unrealised intercompany profits or losses and with addition of the remaining value of any increases in value and goodwill calculated at the time of acquisition of the enterprises.
The total net revaluation of investments in subsidiaries is transferred upon distribution of profit to “Reserve for net revaluation under the equity method“ under equity. The reserve is reduced by dividend distributed to the Parent Company and adjusted for other equity movements in the subsidiaries.
Subsidiaries with a negative net asset value are recognised at DKK 0. Any legal or constructive obligation of the Parent Company to cover the negative balance of the enterprise is recognised in provisions.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisForInvestmentsInSubsidiariesAndAssociates><e:DescriptionOfMethodsOfInvestments contextRef="c64" xml:lang="da">Værdipapirer og kapitalandele, indregnet under anlægsaktiver, omfatter børsnoterede obligationer og aktier, der måles til dagsværdien på balancedagen. Dagsværdien opgøres på grundlag af den senest noterede salgskurs.
Kapitalandele, som ikke handles på et aktivt marked, måles til kostpris eller en lavere genindvindingsværdi.</e:DescriptionOfMethodsOfInvestments><e:DescriptionOfMethodsOfInvestments contextRef="c64" xml:lang="en">Fixed asset investments, which consist of listed bonds and shares, are measured at their fair values at the balance sheet date. Fair value is determined on the basis of the latest quoted market price.
Investments which are not traded in an active market are measured at the lower of cost and recoverable amount.</e:DescriptionOfMethodsOfInvestments><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfInventories contextRef="c64" xml:lang="da">Varebeholdninger måles til kostpris efter FIFO-metoden eller nettorealisationsværdi, hvis denne er lavere.
Nettorealisationsværdien for varebeholdninger opgøres til det beløb, som forventes at kunne indbringes ved salg i normal drift med fradrag af salgsomkostninger. Nettorealisationsværdien opgøres under hensyntagen til omsættelighed, ukurans og udvikling i forventet salgspris.
Kostpris for handelsvarer samt råvarer og hjælpematerialer omfatter købspris med tillæg af hjemtagelsesomkostninger.
Kostpris for fremstillede færdigvarer samt varer under fremstilling omfatter kostpris for råvarer, hjælpematerialer og direkte løn med tillæg af indirekte produktionsomkostninger. Indirekte produktionsomkostninger indeholder indirekte materialer og løn samt vedligeholdelse af og afskrivning på de i produktionsprocessen benyttede maskiner, fabriksbygninger og udstyr samt omkostninger til fabriksadministration og ledelse.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfInventories><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfInventories contextRef="c64" xml:lang="en">Inventories are measured at the lower of cost under the FIFO method and net realisable value.
The net realisable value of inventories is calculated at the amount expected to be generated by sale of the inventories in the process of normal operations with deduction of selling expenses. The net realisable value is determined allowing for marketability, obsolescence and development in expected selling price.
The cost of goods for resale, raw materials and consumables equals landed cost.
The cost of finished goods and work in progress comprises the cost of raw materials, consumables and direct labour with addition of indirect production costs. Indirect production costs comprise the cost of indirect materials and labour as well as maintenance and depreciation of the machinery, factory buildings and equipment used in the manufacturing process as well as costs of factory administration and management.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfInventories><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfReceivables contextRef="c64" xml:lang="da">Tilgodehavender måles i balancen til amortiseret kostpris eller en lavere nettorealisationsværdi, hvilket normalt udgør nominel værdi med fradrag af nedskrivning til imødegåelse af tab.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfReceivables><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfReceivables contextRef="c64" xml:lang="en">Receivables are measured in the balance sheet at the lower of amortised cost and net realisable value, which corresponds to nominal value less provisions for bad debts.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfReceivables><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfDeferredIncomeAssets contextRef="c64" xml:lang="da">Periodeafgrænsningsposter indregnet som aktiver omfatter afholdte forudbetalte omkostninger vedrørende husleje, forsikringspræmier, abonnementer og renter.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfDeferredIncomeAssets><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfDeferredIncomeAssets contextRef="c64" xml:lang="en">Prepayments comprise prepaid expenses concerning rent, insurance premiums, subscriptions and interest.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfDeferredIncomeAssets><e:DescriptionOfMethodsOfDividends contextRef="c64" xml:lang="da">Udbytte, som ledelsen foreslår uddelt for regnskabsåret, vises som en særskilt post under egenkapitalen.</e:DescriptionOfMethodsOfDividends><e:DescriptionOfMethodsOfDividends contextRef="c64" xml:lang="en">Dividend distribution proposed by Management for the year is disclosed as a separate equity item.</e:DescriptionOfMethodsOfDividends><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxPayablesAndDeferredTax contextRef="c64" xml:lang="da">Udskudt skat måles efter den balanceorienterede gældsmetode af midlertidige forskelle mellem regnskabsmæssig og skattemæssig værdi af aktiver og forpligtelser, opgjort på grundlag af den planlagte anvendelse af aktivet, henholdsvis afvikling af forpligtelsen.
Udskudte skatteaktiver måles til den værdi, hvortil aktivet forventes at kunne realiseres, enten ved udligning i skat af fremtidig indtjening eller ved modregning i udskudte skatteforpligtelser inden for samme juridiske skatteenhed.
Udskudt skat måles på grundlag af de skatteregler og skattesatser, der med balancedagens lovgivning vil være gældende, når den udskudte skat forventes udløst som aktuel skat. Ændring i udskudt skat, som følge af ændringer i skattesatser, indregnes i resultatopgørelsen eller i egenkapitalen, når den udskudte skat vedrører poster, der er indregnet i egenkapitalen.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxPayablesAndDeferredTax><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxPayablesAndDeferredTax contextRef="c64" xml:lang="en">Deferred income tax is measured using the balance sheet liability method in respect of temporary differences arising between the tax bases of assets and liabilities and their carrying amounts for financial reporting purposes on the basis of the intended use of the asset and settlement of the liability, respectively.
Deferred tax assets are measured at the value at which the asset is expected to be realised, either by elimination in tax on future earnings or by set-off against deferred tax liabilities within the same legal tax entity.
Deferred tax is measured on the basis of the tax rules and tax rates that will be effective under the legislation at the balance sheet date when the deferred tax is expected to crystallise as current tax. Any changes in deferred tax due to changes to tax rates are recognised in the income statement or in equity if the deferred tax relates to items recognised in equity.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxPayablesAndDeferredTax><e:DescriptionOfMethodsOfCurrentTaxReceivablesAndLiabilities contextRef="c64" xml:lang="da">Aktuelle skatteforpligtelser og tilgodehavende aktuel skat indregnes i balancen som beregnet skat af årets skattepligtige indkomst reguleret for skat af tidligere års skattepligtige indkomster samt for betalte acontoskatter. Tillæg og godtgørelse under acontoskatteordningen indregnes i resultatopgørelsen under finansielle poster.</e:DescriptionOfMethodsOfCurrentTaxReceivablesAndLiabilities><e:DescriptionOfMethodsOfCurrentTaxReceivablesAndLiabilities contextRef="c64" xml:lang="en">Current tax liabilities and receivables are recognised in the balance sheet as the expected taxable income for the year adjusted for tax on taxable incomes for prior years and tax paid on account. Extra payments and repayment under the on-account taxation scheme are recognised in the income statement in financial income and expenses.</e:DescriptionOfMethodsOfCurrentTaxReceivablesAndLiabilities><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfLiabilitiesOtherThanProvisions contextRef="c64" xml:lang="da">Lån, som lån hos kreditinstitutter, indregnes ved låneoptagelsen til det modtagne provenu med fradrag af afholdte transaktionsomkostninger. I efterfølgende perioder måles lånene til amortiseret kostpris, således at forskellen mellem provenuet og den nominelle værdi indregnes i resultatopgørelsen som en renteomkostning over låneperioden.
Prioritetsgæld er således målt til amortiseret kostpris, der for kontantlån svarer til lånets restgæld. For obligationslån svarer amortiseret kostpris til en restgæld beregnet som lånets underliggende kontantværdi på lånoptagelsestidspunktet reguleret med en over afdragstiden foretaget afskrivning af lånets kursregulering på optagelsestidspunktet.
Øvrige gældsforpligtelser måles til amortiseret kostpris, der i al væsentlighed svarer til nominel værdi.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfLiabilitiesOtherThanProvisions><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfLiabilitiesOtherThanProvisions contextRef="c64" xml:lang="en">Loans, such as loans from credit institutions, are recognised initially at the proceeds received net of transaction expenses incurred. Subsequently, the loans are measured at amortised cost; the difference between the proceeds and the nominal value is recognised as an interest expense in the income statement over the loan period.
Mortgage loans are measured at amortised cost, which for cash loans corresponds to the remaining loan. Amortised cost of debenture loans corresponds to the remaining loan calculated as the underlying cash value of the loan at the date of raising the loan adjusted for depreciation of the price adjustment of the loan made over the term of the loan at the date of raising the loan.
Other debts are measured at amortised cost, substantially corresponding to nominal value.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfLiabilitiesOtherThanProvisions><e:DescriptionMethodsOfRecognitionAndMeasurementBasisForCashFlowsStatement contextRef="c64" xml:lang="da">Pengestrømsopgørelsen viser koncernens pengestrømme for året opdelt på drifts-, investerings- og finansieringsaktivitet, årets forskydning i likvider samt koncernens likvider ved årets begyndelse og slutning.
Pengestrøm fra driftsaktivitet
Pengestrøm fra driftsaktiviteten opgøres som årets resultat reguleret for ændring i driftskapitalen og ikke kontante resultatposter som af- og nedskrivninger og hensatte forpligtelser. Driftskapitalen omfatter omsætningsaktiver fratrukket kortfristede gældsforpligtelser eksklusive de poster, der indgår i likvider.
Pengestrøm fra investeringsaktivitet
Pengestrøm fra investeringsaktiviteten omfatter pengestrømme fra køb og salg af immaterielle, materielle og finansielle anlægsaktiver.
Pengestrøm fra finansieringsaktivitet
Pengestrøm fra finansieringsaktiviteten omfatter pengestrømme fra optagelse og tilbagebetaling af langfristede gældsforpligtelser samt ind- og udbetalinger til og fra selskabsdeltagerne.
Likvider
Pengestrømsopgørelsen kan ikke udledes alene af det offentliggjorte regnskabsmateriale.</e:DescriptionMethodsOfRecognitionAndMeasurementBasisForCashFlowsStatement><e:DescriptionMethodsOfRecognitionAndMeasurementBasisForCashFlowsStatement contextRef="c64" xml:lang="en">The cash flow statement shows the Group´s cash flows for the year broken down by operating, investing and financing activities, changes for the year in cash and cash equivalents as well as the Group´s cash and cash equivalents at the beginning and end of the year.
Cash flows from operating activities
Cash flows from operating activities are calculated as the net profit/loss for the year adjusted for changes in working capital and non-cash operating items such as depreciation, amortisation and impairment losses, and provisions. Working capital comprises current assets less short-term debt excluding items included in cash and cash equivalents.
Cash flows from investing activities
Cash flows from investing activities comprise cash flows from acquisitions and disposals of intangible assets, property, plant and equipment as well as fixed asset investments.
Cash flows from financing activities
Cash flows from financing activities comprise cash flows from the raising and repayment of long-term debt as well as payments to and from shareholders.
Cash and cash equivalents
The cash flow statement cannot be immediately derived from the published financial records.</e:DescriptionMethodsOfRecognitionAndMeasurementBasisForCashFlowsStatement><e:ExplanationOfEntitysDefinitionOfCashAndCashEquivalents contextRef="c64" xml:lang="da">Likvide midler består af ”Likvide beholdninger” og ”Kassekreditter”.</e:ExplanationOfEntitysDefinitionOfCashAndCashEquivalents><e:ExplanationOfEntitysDefinitionOfCashAndCashEquivalents contextRef="c64" xml:lang="en">Cash and cash equivalents comprise ”Cash at bank and in hand” and ”Overdraft facilities”.</e:ExplanationOfEntitysDefinitionOfCashAndCashEquivalents><e:DescriptionOfMethodsOfStatingKeyFiguresAndFinancialRatiosIncludedInManagementReview contextRef="c64" xml:lang="da">Resultat før finansielle poster x 100
Samlede aktiver
Profit before financials x 100
Total assets
Egenkapital ultimo x 100
Samlede aktiver ultimo
Equity at year end x 100
Total assets at year end
Ordinært resultat efter skat x 100
Gennemsnitlig egenkapital
Net profit for the year x 100
Average equity</e:DescriptionOfMethodsOfStatingKeyFiguresAndFinancialRatiosIncludedInManagementReview><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfIntangibleAssets contextRef="c64" xml:lang="da">Goodwill afskrives lineært over den vurderede økonomiske brugstid på 5 år, der er fastlagt på baggrund af ledelsens erfaringer inden for de enkelte forretningsområder.
Goodwill is amortised on a straight-line basis over the estimated useful life of 5 years. determined on the basis of Management’s experience with the individual business areas.
Omkostninger på udviklingsprojekter omfatter gager, afskrivninger og andre omkostninger, der direkte og indirekte kan henføres til selskabets udviklingsaktiviteter.
Costs of development projects comprise salaries, amortisation and other expenses directly or indirectly attributable to the Company’s development activities.
Udviklingsprojekter, der ikke opfylder kriterierne for indregning i balancen, indregnes som omkostninger i resultatopgørelsen, i takt med at omkostningerne afholdes.
Development projects that do not meet the criteria for recognition in the balance sheet are recognised as expenses in the income statement as incurred.
Aktiverede udviklingsomkostninger måles til kostpris med fradrag af akkumulerede af- og nedskrivninger eller genindvindingsværdi, såfremt denne er lavere. Et beløb svarende til de indregnede udviklingsomkostninger reserveres i posten “Reserve for udviklingsomkostninger“ under egenkapitalen. Reserven omfatter udelukkende udviklingsomkostninger, som er indregnet i regnskabsår, der begynder den 1. januar 2016 eller senere. Reserven reduceres løbende med af- og nedskrivninger på udviklingsprojekterne.
Capitalised development costs are measured at cost less accumulated amortisation and impairment losses or at a lower recoverable amount. An amount corresponding to the recognised development costs is allocated to the equity item “Reserve for development costs”. The reserve comprises only development costs recognised in financial years beginning on or after 1 January 2016. The reserve is reduced by amortisation of and impairment losses on the development projects on a continuing basis.
Aktiverede udviklingsomkostninger afskrives fra tidspunktet for færdiggørelsen lineært over den periode, hvori udviklingsarbejdet forventes at frembringe økonomiske fordele. Afskrivningsperioden udgør 5 år.
As of the date of completion, capitalised development costs are amortised on a straight-line basis over the period of the expected economic benefit from the development work. The amortisation period is 5 years.</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfIntangibleAssets><!--Virksomhedskapital aktuel primo--><context id="c0"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-07-01</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ContributedCapitalMember</xbrldi:explicitMember></scenario></context><!--Virksomhedskapital aktuel i aaret--><context id="c1"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ContributedCapitalMember</xbrldi:explicitMember></scenario></context><!--Virksomhedskapital aktuel ultimo--><context id="c2"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ContributedCapitalMember</xbrldi:explicitMember></scenario></context><!--Reserve for nettoopskrivning indre vardi aktuel primo--><context id="c14"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-07-01</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Reserve for nettoopskrivning indre vardi aktuel i aaret--><context id="c15"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Reserve for nettoopskrivning indre vardi aktuel ultimo--><context id="c16"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Overfort res aktuel primo--><context id="c20"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-07-01</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:RetainedEarningsMember</xbrldi:explicitMember></scenario></context><!--Overfort res aktuel i aaret--><context id="c21"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:RetainedEarningsMember</xbrldi:explicitMember></scenario></context><!--Overfort res aktuel ultimo--><context id="c22"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:RetainedEarningsMember</xbrldi:explicitMember></scenario></context><!--Udbytte aktuel primo--><context id="c23"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-07-01</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Udbytte aktuel i aaret--><context id="c24"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Udbytte aktuel ultimo--><context id="c25"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Aktuelle periode koncern--><context id="c64"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember></scenario></context><!--Aktuelle periode enkelt selskab--><context id="c65"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period></context><!--REVISOR1--><context id="c67"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:typedMember dimension="d:IdentificationOfAuditorDimension"><d:auditorIdentifier>1</d:auditorIdentifier></xbrldi:typedMember></scenario></context><!--BOARD1--><context id="c68"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:typedMember dimension="d:IdentificationOfMemberOfSupervisoryBoardDimension"><d:memberOfBoardIdentifier>1</d:memberOfBoardIdentifier></xbrldi:typedMember></scenario></context><!--BOARD2--><context id="c69"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:typedMember dimension="d:IdentificationOfMemberOfSupervisoryBoardDimension"><d:memberOfBoardIdentifier>2</d:memberOfBoardIdentifier></xbrldi:typedMember></scenario></context><!--BOARD3--><context id="c70"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:typedMember dimension="d:IdentificationOfMemberOfSupervisoryBoardDimension"><d:memberOfBoardIdentifier>3</d:memberOfBoardIdentifier></xbrldi:typedMember></scenario></context><!--CEO1--><context id="c83"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:typedMember dimension="d:IdentificationOfMemberOfExecutiveBoardDimension"><d:memberOfBoardIdentifier>1</d:memberOfBoardIdentifier></xbrldi:typedMember></scenario></context><!--CEO2--><context id="c84"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:typedMember dimension="d:IdentificationOfMemberOfExecutiveBoardDimension"><d:memberOfBoardIdentifier>2</d:memberOfBoardIdentifier></xbrldi:typedMember></scenario></context><!--Forrige periode enkelt selskab--><context id="c92"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2019-07-01</startDate><endDate>2020-06-30</endDate></period></context><!--Udbytte Egenkapital aktuel i aaret--><context id="c93"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Udbytte Egenkapital forrige i aaret--><context id="c94"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2019-07-01</startDate><endDate>2020-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Nettopskrivning aktuel i aaret--><context id="c99"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Nettopskrivning forrige i aaret--><context id="c100"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2019-07-01</startDate><endDate>2020-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Overfoert resultat aktuel i aaret--><context id="c105"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:RetainedEarningsMember</xbrldi:explicitMember></scenario></context><!--Overfoert resultat forrige i aaret--><context id="c106"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2019-07-01</startDate><endDate>2020-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:RetainedEarningsMember</xbrldi:explicitMember></scenario></context><!--Udbytte aconto aktuel i aaret--><context id="c107"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:ProposedExtraordinaryDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Udbytte aconto forrige i aaret--><context id="c108"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2019-07-01</startDate><endDate>2020-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:ProposedExtraordinaryDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Slutdato forrige periode enkelt selskab--><context id="c109"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-06-30</instant></period></context><!--Slutdato aktuelle periode enkelt selskab--><context id="c110"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period></context><!--Vederlag direktion aktuelt aar--><context id="c111"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ManagementCategoryDimension">e:ManagementMember</xbrldi:explicitMember></scenario></context><!--Vederlag direktion forrige aar--><context id="c112"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2019-07-01</startDate><endDate>2020-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ManagementCategoryDimension">e:ManagementMember</xbrldi:explicitMember></scenario></context><!--Vederlag bestyrelse aktuelt aar--><context id="c113"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ManagementCategoryDimension">e:BoardOfDirectorsMember</xbrldi:explicitMember></scenario></context><!--Vederlag bestyrelse forrige aar--><context id="c114"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2019-07-01</startDate><endDate>2020-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ManagementCategoryDimension">e:BoardOfDirectorsMember</xbrldi:explicitMember></scenario></context><!--Andre anlag aktuel primo--><context id="c188"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-07-01</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfPropertyPlantAndEquipmentDimension">e:FixturesFittingsToolsAndEquipmentMember</xbrldi:explicitMember></scenario></context><!--Andre anlag aktuel i aaret--><context id="c189"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfPropertyPlantAndEquipmentDimension">e:FixturesFittingsToolsAndEquipmentMember</xbrldi:explicitMember></scenario></context><!--Andre anlag aktuel ultimo--><context id="c190"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfPropertyPlantAndEquipmentDimension">e:FixturesFittingsToolsAndEquipmentMember</xbrldi:explicitMember></scenario></context><!--Andre vardipapirer og kapitalandele aktuel primo--><context id="c209"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-07-01</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfInvestmentsDimension">e:OtherInvestmentsMember</xbrldi:explicitMember></scenario></context><!--Andre vardipapirer og kapitalandele aktuel i aaret--><context id="c210"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfInvestmentsDimension">e:OtherInvestmentsMember</xbrldi:explicitMember></scenario></context><!--Andre vardipapirer og kapitalandele aktuel ultimo--><context id="c211"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfInvestmentsDimension">e:OtherInvestmentsMember</xbrldi:explicitMember></scenario></context><!--Datterselskab1--><context id="c243"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:TypeOfRelatedEntityDimension">e:SubsidiaryMember</xbrldi:explicitMember><xbrldi:typedMember dimension="e:IdentificationOfRelatedEntityDimension"><e:relatedEntityIdentifier>1</e:relatedEntityIdentifier></xbrldi:typedMember></scenario></context><!--Datterselskab2--><context id="c244"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:TypeOfRelatedEntityDimension">e:SubsidiaryMember</xbrldi:explicitMember><xbrldi:typedMember dimension="e:IdentificationOfRelatedEntityDimension"><e:relatedEntityIdentifier>2</e:relatedEntityIdentifier></xbrldi:typedMember></scenario></context><!--Datterselskab3--><context id="c245"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:TypeOfRelatedEntityDimension">e:SubsidiaryMember</xbrldi:explicitMember><xbrldi:typedMember dimension="e:IdentificationOfRelatedEntityDimension"><e:relatedEntityIdentifier>3</e:relatedEntityIdentifier></xbrldi:typedMember></scenario></context><!--Datterselskab4--><context id="c246"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:TypeOfRelatedEntityDimension">e:SubsidiaryMember</xbrldi:explicitMember><xbrldi:typedMember dimension="e:IdentificationOfRelatedEntityDimension"><e:relatedEntityIdentifier>4</e:relatedEntityIdentifier></xbrldi:typedMember></scenario></context><!--Datterselskab5--><context id="c247"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:TypeOfRelatedEntityDimension">e:SubsidiaryMember</xbrldi:explicitMember><xbrldi:typedMember dimension="e:IdentificationOfRelatedEntityDimension"><e:relatedEntityIdentifier>5</e:relatedEntityIdentifier></xbrldi:typedMember></scenario></context><!--Datterselskab6--><context id="c248"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:TypeOfRelatedEntityDimension">e:SubsidiaryMember</xbrldi:explicitMember><xbrldi:typedMember dimension="e:IdentificationOfRelatedEntityDimension"><e:relatedEntityIdentifier>6</e:relatedEntityIdentifier></xbrldi:typedMember></scenario></context><!--Datterselskab ultimo1--><context id="c263"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:TypeOfRelatedEntityDimension">e:SubsidiaryMember</xbrldi:explicitMember><xbrldi:typedMember dimension="e:IdentificationOfRelatedEntityDimension"><e:relatedEntityIdentifier>1</e:relatedEntityIdentifier></xbrldi:typedMember></scenario></context><!--Datterselskab ultimo2--><context id="c264"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:TypeOfRelatedEntityDimension">e:SubsidiaryMember</xbrldi:explicitMember><xbrldi:typedMember dimension="e:IdentificationOfRelatedEntityDimension"><e:relatedEntityIdentifier>2</e:relatedEntityIdentifier></xbrldi:typedMember></scenario></context><!--Datterselskab ultimo3--><context id="c265"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:TypeOfRelatedEntityDimension">e:SubsidiaryMember</xbrldi:explicitMember><xbrldi:typedMember dimension="e:IdentificationOfRelatedEntityDimension"><e:relatedEntityIdentifier>3</e:relatedEntityIdentifier></xbrldi:typedMember></scenario></context><!--Datterselskab ultimo4--><context id="c266"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:TypeOfRelatedEntityDimension">e:SubsidiaryMember</xbrldi:explicitMember><xbrldi:typedMember dimension="e:IdentificationOfRelatedEntityDimension"><e:relatedEntityIdentifier>4</e:relatedEntityIdentifier></xbrldi:typedMember></scenario></context><!--Datterselskab ultimo5--><context id="c267"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:TypeOfRelatedEntityDimension">e:SubsidiaryMember</xbrldi:explicitMember><xbrldi:typedMember dimension="e:IdentificationOfRelatedEntityDimension"><e:relatedEntityIdentifier>5</e:relatedEntityIdentifier></xbrldi:typedMember></scenario></context><!--Datterselskab ultimo6--><context id="c268"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:TypeOfRelatedEntityDimension">e:SubsidiaryMember</xbrldi:explicitMember><xbrldi:typedMember dimension="e:IdentificationOfRelatedEntityDimension"><e:relatedEntityIdentifier>6</e:relatedEntityIdentifier></xbrldi:typedMember></scenario></context><!--UdvProject aktuel primo--><context id="c329"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-07-01</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfIntangibleAssetsDimension">e:CompletedDevelopmentProjectsMember</xbrldi:explicitMember></scenario></context><!--Goodwill aktuel primo--><context id="c331"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-07-01</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfIntangibleAssetsDimension">e:GoodwillMember</xbrldi:explicitMember></scenario></context><!--Goodwill aktuel i aaret--><context id="c338"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfIntangibleAssetsDimension">e:GoodwillMember</xbrldi:explicitMember></scenario></context><!--Goodwill aktuel ultimo--><context id="c339"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfIntangibleAssetsDimension">e:GoodwillMember</xbrldi:explicitMember></scenario></context><!--UdvProject aktuel i aaret--><context id="c342"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfIntangibleAssetsDimension">e:CompletedDevelopmentProjectsMember</xbrldi:explicitMember></scenario></context><!--UdvProject aktuel ultimo--><context id="c343"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfIntangibleAssetsDimension">e:CompletedDevelopmentProjectsMember</xbrldi:explicitMember></scenario></context><!--Udbytte Egenkapital moder aktuel i aaret--><context id="c366"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Udbytte Egenkapital moder forrige i aaret--><context id="c367"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2019-07-01</startDate><endDate>2020-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Udbytte aconto moder aktuel i aaret--><context id="c370"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:ProposedExtraordinaryDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Udbytte aconto moder forrige i aaret--><context id="c371"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2019-07-01</startDate><endDate>2020-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:ProposedExtraordinaryDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Nettopskrivning moder aktuel i aaret--><context id="c374"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Nettopskrivning moder forrige i aaret--><context id="c375"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2019-07-01</startDate><endDate>2020-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Overfoert resultat moder aktuel i aaret--><context id="c380"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:RetainedEarningsMember</xbrldi:explicitMember></scenario></context><!--Overfoert resultat moder forrige i aaret--><context id="c381"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2019-07-01</startDate><endDate>2020-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:RetainedEarningsMember</xbrldi:explicitMember></scenario></context><!--Minoritetsinteresser disponeret forrige i aaret--><context id="c382"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2019-07-01</startDate><endDate>2020-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:MinorityInterestsMember</xbrldi:explicitMember></scenario></context><!--Minoritetsinteresser disponeret aktuel i aaret--><context id="c383"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:MinorityInterestsMember</xbrldi:explicitMember></scenario></context><!--Minoritetsinteresser disponeret moder forrige i aaret--><context id="c384"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2019-07-01</startDate><endDate>2020-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:MinorityInterestsMember</xbrldi:explicitMember></scenario></context><!--Minoritetsinteresser disponeret moder aktuel i aaret--><context id="c385"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="e:ResultDistributionDimension">e:MinorityInterestsMember</xbrldi:explicitMember></scenario></context><!--Kapandele tilknyttede moder aktuel i aaret--><context id="c549"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfInvestmentsDimension">e:InvestmentsInGroupEnterprisesMember</xbrldi:explicitMember></scenario></context><!--Kapandele tilknyttede moder forrige i aaret--><context id="c550"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2019-07-01</startDate><endDate>2020-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfInvestmentsDimension">e:InvestmentsInGroupEnterprisesMember</xbrldi:explicitMember></scenario></context><!--Reserve for udviklingsomkostninger aktuel primo--><context id="c570"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-07-01</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ReserveForDevelopmentExpenditureMember</xbrldi:explicitMember></scenario></context><!--Reserve for udviklingsomkostninger aktuel i aaret--><context id="c571"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ReserveForDevelopmentExpenditureMember</xbrldi:explicitMember></scenario></context><!--Reserve for udviklingsomkostninger aktuel ultimo--><context id="c572"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ReserveForDevelopmentExpenditureMember</xbrldi:explicitMember></scenario></context><!--Egenkapital minoritetsinteresser aktuel primo--><context id="c576"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-07-01</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:MinorityInterestsMember</xbrldi:explicitMember></scenario></context><!--Egenkapital minoritetsinteresser aktuel i aaret--><context id="c577"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:MinorityInterestsMember</xbrldi:explicitMember></scenario></context><!--Egenkapital minoritetsinteresser aktuel ultimo--><context id="c578"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:MinorityInterestsMember</xbrldi:explicitMember></scenario></context><!--HTAL aar2--><context id="c609"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2019-07-01</startDate><endDate>2020-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember></scenario></context><!--HTAL aar3--><context id="c611"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="d:RetrospectiveInformationDimension">d:TwoYearsAgoMember</xbrldi:explicitMember></scenario></context><!--HTAL ultimo aar3--><context id="c613"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="d:RetrospectiveInformationDimension">d:TwoYearsAgoMember</xbrldi:explicitMember></scenario></context><!--HTAL aar4--><context id="c614"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="d:RetrospectiveInformationDimension">d:ThreeYearsAgoMember</xbrldi:explicitMember></scenario></context><!--HTAL ultimo aar4--><context id="c616"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="d:RetrospectiveInformationDimension">d:ThreeYearsAgoMember</xbrldi:explicitMember></scenario></context><!--HTAL aar5--><context id="c617"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="d:RetrospectiveInformationDimension">d:FourYearsAgoMember</xbrldi:explicitMember></scenario></context><!--HTAL ultimo aar5--><context id="c619"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember><xbrldi:explicitMember dimension="d:RetrospectiveInformationDimension">d:FourYearsAgoMember</xbrldi:explicitMember></scenario></context><!--Slutdato aktuelle periode koncern--><context id="c788"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember></scenario></context><!--Slutdato forrige periode koncern--><context id="c789"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-06-30</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember></scenario></context><!--Kapandele tilknyttede moder aktuel primo--><context id="c856"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-07-01</instant></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfInvestmentsDimension">e:InvestmentsInGroupEnterprisesMember</xbrldi:explicitMember></scenario></context><!--Kapandele tilknyttede moder forrige primo--><context id="c857"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2019-07-01</instant></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfInvestmentsDimension">e:InvestmentsInGroupEnterprisesMember</xbrldi:explicitMember></scenario></context><!--Kapandele tilknyttede moder aktuel ultimo--><context id="c858"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfInvestmentsDimension">e:InvestmentsInGroupEnterprisesMember</xbrldi:explicitMember></scenario></context><!--Startdato aktuelle periode koncern--><context id="c898"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-07-01</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember></scenario></context><!--Startdato forrige periode koncern--><context id="c899"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2019-07-01</instant></period><scenario><xbrldi:explicitMember dimension="d:ConsolidatedSoloDimension">d:ConsolidatedMember</xbrldi:explicitMember></scenario></context><!--Andre vardipapirer og kapitalandele moder aktuel primo--><context id="c942"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-07-01</instant></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfInvestmentsDimension">e:OtherInvestmentsMember</xbrldi:explicitMember></scenario></context><!--Andre vardipapirer og kapitalandele moder aktuel i aaret--><context id="c943"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfInvestmentsDimension">e:OtherInvestmentsMember</xbrldi:explicitMember></scenario></context><!--Andre vardipapirer og kapitalandele moder aktuel ultimo--><context id="c944"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfInvestmentsDimension">e:OtherInvestmentsMember</xbrldi:explicitMember></scenario></context><!--Virksomhedskapital moder aktuel primo--><context id="c1012"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-07-01</instant></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ContributedCapitalMember</xbrldi:explicitMember></scenario></context><!--Virksomhedskapital moder aktuel i aaret--><context id="c1013"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ContributedCapitalMember</xbrldi:explicitMember></scenario></context><!--Virksomhedskapital moder aktuel ultimo--><context id="c1014"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ContributedCapitalMember</xbrldi:explicitMember></scenario></context><!--Reserve for nettoopskrivning indre vardi moder aktuel primo--><context id="c1035"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-07-01</instant></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Reserve for nettoopskrivning indre vardi moder aktuel i aaret--><context id="c1036"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Reserve for nettoopskrivning indre vardi moder aktuel ultimo--><context id="c1037"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Overfort res moder aktuel primo--><context id="c1041"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-07-01</instant></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:RetainedEarningsMember</xbrldi:explicitMember></scenario></context><!--Overfort res moder aktuel i aaret--><context id="c1042"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:RetainedEarningsMember</xbrldi:explicitMember></scenario></context><!--Overfort res moder aktuel ultimo--><context id="c1043"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:RetainedEarningsMember</xbrldi:explicitMember></scenario></context><!--Udbytte moder aktuel primo--><context id="c1047"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2020-07-01</instant></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Udbytte moder aktuel i aaret--><context id="c1048"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Udbytte moder aktuel ultimo--><context id="c1049"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><instant>2021-06-30</instant></period><scenario><xbrldi:explicitMember dimension="e:ClassesOfEquityDimension">e:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Vederlag direktion moder aktuelt aar--><context id="c1084"><entity><identifier scheme="http://www.dcca.dk/cvr">19757803</identifier></entity><period><startDate>2020-07-01</startDate><endDate>2021-06-30</endDate></period><scenario><xbrldi:explicitMember 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