<xbrli:xbrl xmlns="http://www.xbrl.org/2003/instance" xmlns:g="http://xbrl.dcca.dk/sob" xmlns:b="http://xbrl.dcca.dk/entryBalanceSheetAccountFormIncomeStatementByNature" xmlns:h="http://xbrl.dcca.dk/mrv" xmlns:f="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/20221001/entryDanishGAAPBalanceSheetAccountFormIncomeStatementByNatureIncludingManagementsReviewStatisticsAndTax20221001.xsd"><link:schemaRef xlink:type="simple" xlink:href="http://archprod.service.eogs.dk/taxonomy/20221001/entryDanishGAAPBalanceSheetAccountFormIncomeStatementByNatureIncludingManagementsReviewStatisticsAndTax20221001.xsd" /><c:InformationOnTypeOfSubmittedReport contextRef="c1">Årsrapport</c:InformationOnTypeOfSubmittedReport><d:TypeOfAuditorAssistance contextRef="c1">Andre erklæringer uden sikkerhed</d:TypeOfAuditorAssistance><e:ClassOfReportingEntity contextRef="c1">Regnskabsklasse B</e:ClassOfReportingEntity><c:NameOfSubmittingEnterprise contextRef="c1">Beierholm</c:NameOfSubmittingEnterprise><c:AddressOfSubmittingEnterpriseStreetAndNumber contextRef="c1">Langagervej 1</c:AddressOfSubmittingEnterpriseStreetAndNumber><c:AddressOfSubmittingEnterprisePostcodeAndTown contextRef="c1">9220 Aalborg Ø</c:AddressOfSubmittingEnterprisePostcodeAndTown><c:DateOfGeneralMeeting contextRef="c1">2025-03-14</c:DateOfGeneralMeeting><c:NameAndSurnameOfChairmanOfGeneralMeeting contextRef="c1">Jesper Præstensgaard</c:NameAndSurnameOfChairmanOfGeneralMeeting><f:SignatureOfAuditorsDate contextRef="c1">2025-03-14</f:SignatureOfAuditorsDate><c:PrecedingReportingPeriodStartDate contextRef="c1">2023-01-01</c:PrecedingReportingPeriodStartDate><c:PredingReportingPeriodEndDate contextRef="c1">2023-12-31</c:PredingReportingPeriodEndDate><c:ReportingPeriodStartDate contextRef="c1">2024-01-01</c:ReportingPeriodStartDate><c:ReportingPeriodEndDate contextRef="c1">2024-12-31</c:ReportingPeriodEndDate><c:IdentificationNumberCvrOfReportingEntity contextRef="c1">37521582</c:IdentificationNumberCvrOfReportingEntity><c:NameOfReportingEntity contextRef="c1">Human Acceleration ApS</c:NameOfReportingEntity><c:AddressOfReportingEntityStreetName contextRef="c1">Strandvejen</c:AddressOfReportingEntityStreetName><c:AddressOfReportingEntityStreetBuildingIdentifier contextRef="c1">72</c:AddressOfReportingEntityStreetBuildingIdentifier><c:AddressOfReportingEntityPostCodeIdentifier contextRef="c1">2900</c:AddressOfReportingEntityPostCodeIdentifier><c:AddressOfReportingEntityDistrictName contextRef="c1">Hellerup</c:AddressOfReportingEntityDistrictName><c:RegisteredOfficeOfReportingEntity contextRef="c1">Gentofte</c:RegisteredOfficeOfReportingEntity><d:NameOfAuditFirm contextRef="c1027">Beierholm</d:NameOfAuditFirm><d:IdentificationNumberCvrOfAuditFirm contextRef="c1027">32895468</d:IdentificationNumberCvrOfAuditFirm><c:AddressOfAuditorStreetName contextRef="c1027">Knud Højgaards Vej</c:AddressOfAuditorStreetName><c:AddressOfAuditorStreetBuildingIdentifier contextRef="c1027">9</c:AddressOfAuditorStreetBuildingIdentifier><c:AddressOfAuditorPostCodeIdentifier contextRef="c1027">2860</c:AddressOfAuditorPostCodeIdentifier><c:AddressOfAuditorDistrictName contextRef="c1027">Søborg</c:AddressOfAuditorDistrictName><c:AddressOfAuditorCountry contextRef="c1027">Danmark</c:AddressOfAuditorCountry><e:AverageNumberOfEmployees contextRef="c1" unitRef="u4" decimals="INF">0</e:AverageNumberOfEmployees><e:AverageNumberOfEmployees contextRef="c26" unitRef="u4" decimals="INF">0</e:AverageNumberOfEmployees><e:SelectedElementsFromReportingClassC contextRef="c1">true</e:SelectedElementsFromReportingClassC><e:AccountingPoliciesAreUnchangedFromPreviousPeriod contextRef="c1">true</e:AccountingPoliciesAreUnchangedFromPreviousPeriod><g:IdentificationOfApprovedAnnualReport contextRef="c1" xml:lang="da">Jeg har dags dato aflagt årsrapporten for regnskabsåret 01.01.24 - 31.12.24 for Human Acceleration ApS.</g:IdentificationOfApprovedAnnualReport><g:IdentificationOfApprovedAnnualReport contextRef="c1" xml:lang="en">I have on this day presented the annual report for the financial year  01.01.24 -  31.12.24 for Human Acceleration ApS.</g:IdentificationOfApprovedAnnualReport><g:ConfirmationThatAnnualReportIsPresentedInAccordanceWithRequirementsProvidedForByLegislationAnyStandardsAndRequirementsProvidedByArticlesOfAssociationOrByAgreement contextRef="c1" xml:lang="da">Årsrapporten aflægges i overensstemmelse med årsregnskabsloven.</g:ConfirmationThatAnnualReportIsPresentedInAccordanceWithRequirementsProvidedForByLegislationAnyStandardsAndRequirementsProvidedByArticlesOfAssociationOrByAgreement><g:ConfirmationThatAnnualReportIsPresentedInAccordanceWithRequirementsProvidedForByLegislationAnyStandardsAndRequirementsProvidedByArticlesOfAssociationOrByAgreement contextRef="c1" xml:lang="en">The annual report is presented in accordance with the Danish Financial Statements Act.</g:ConfirmationThatAnnualReportIsPresentedInAccordanceWithRequirementsProvidedForByLegislationAnyStandardsAndRequirementsProvidedByArticlesOfAssociationOrByAgreement><g:ConfirmationThatFinancialStatementsAreExemptedFromAuditing contextRef="c1" xml:lang="da">Årsregnskabet er ikke revideret, og jeg erklærer, at betingelserne herfor er opfyldt.</g:ConfirmationThatFinancialStatementsAreExemptedFromAuditing><g:ConfirmationThatFinancialStatementsAreExemptedFromAuditing contextRef="c1" xml:lang="en">The financial statements have not been audited, and I declare that the relevant conditions have been met.</g:ConfirmationThatFinancialStatementsAreExemptedFromAuditing><g:ConfirmationThatFinancialStatementGivesTrueAndFairViewOfAssetsLiabilitiesEquityFinancialPositionAndResults contextRef="c1" xml:lang="da">Det er min opfattelse, at årsregnskabet giver et retvisende billede af selskabets aktiver, passiver og finansielle stilling pr. 31.12.24 og resultatet af selskabets aktiviteter for regnskabsåret 01.01.24 - 31.12.24.</g:ConfirmationThatFinancialStatementGivesTrueAndFairViewOfAssetsLiabilitiesEquityFinancialPositionAndResults><g:ConfirmationThatFinancialStatementGivesTrueAndFairViewOfAssetsLiabilitiesEquityFinancialPositionAndResults contextRef="c1" xml:lang="en">In my opinion, the financial statements give a true and fair view of the company's assets, liabilities and financial position as at 31.12.24 and of the results of the company's activities  for the financial year 01.01.24 - 31.12.24.</g:ConfirmationThatFinancialStatementGivesTrueAndFairViewOfAssetsLiabilitiesEquityFinancialPositionAndResults><g:ManagementsStatementAboutManagementsReview contextRef="c1" xml:lang="da">Ledelsesberetningen indeholder efter min opfattelse en retvisende redegørelse for de forhold, beretningen omhandler.</g:ManagementsStatementAboutManagementsReview><g:ManagementsStatementAboutManagementsReview contextRef="c1" xml:lang="en">I believe that the management's review includes a fair review of the matters dealt with in the management's review.</g:ManagementsStatementAboutManagementsReview><g:RecommendationForApprovalOfAnnualReportByGeneralMeeting contextRef="c1" xml:lang="da">Årsrapporten indstilles til generalforsamlingens godkendelse.</g:RecommendationForApprovalOfAnnualReportByGeneralMeeting><g:RecommendationForApprovalOfAnnualReportByGeneralMeeting contextRef="c1" xml:lang="en">The annual report is submitted for adoption by the general meeting.</g:RecommendationForApprovalOfAnnualReportByGeneralMeeting><g:PlaceOfSignatureOfStatement contextRef="c1">Hellerup</g:PlaceOfSignatureOfStatement><g:DateOfApprovalOfAnnualReport contextRef="c1">2025-03-14</g:DateOfApprovalOfAnnualReport><d:NameAndSurnameOfMemberOfExecutiveBoard contextRef="c73">Jesper Præstensgaard</d:NameAndSurnameOfMemberOfExecutiveBoard><f:DescriptionOfOtherEngagement contextRef="c1" xml:lang="da">
Til den daglige ledelse i Human Acceleration ApS


Vi har opstillet årsregnskabet for Human Acceleration ApS for regnskabsåret 01.01.24 - 31.12.24 på grundlag af selskabets bogføring og øvrige oplysninger, som den daglige ledelse har tilvejebragt.
Årsregnskabet omfatter resultatopgørelse, balance, egenkapitalopgørelse og noter, herunder oplysning om anvendt regnskabspraksis.
Vi har udført opgaven i overensstemmelse med ISRS 4410 vedrørende opgaver om opstilling af finansielle oplysninger.
Vi har anvendt vores faglige ekspertise til at assistere den daglige ledelse med at udarbejde og præsentere årsregnskabet i overensstemmelse med årsregnskabsloven. Vi har overholdt relevante bestemmelser i revisorloven og International Ethics Standards Board for Accountants’ internationale retningslinjer for revisorers etiske adfærd (IESBA Code) herunder principper om integritet, objektivitet, professionel kompetence og fornøden omhu.
Årsregnskabet samt nøjagtigheden og fuldstændigheden af de oplysninger, der er anvendt til opstillingen af årsregnskabet, er den daglige ledelses ansvar.
Da en opgave om opstilling af finansielle oplysninger ikke er en erklæringsopgave med sikkerhed, er vi ikke forpligtet til at verificere nøjagtigheden eller fuldstændigheden af de oplysninger, den daglige ledelse har givet os til brug for at opstille årsregnskabet. Vi udtrykker derfor ingen revisions- eller gennemgangskonklusion om, hvorvidt årsregnskabet er udarbejdet i overensstemmelse med årsregnskabsloven.
Søborg, den 14. marts 2025
Soeborg, Copenhagen, March 14, 2025
Beierholm
Godkendt Revisionspartnerselskab
CVR-nr. / CVR no. 32 89 54 68


Philip Heick-Poulsen
Statsaut. revisor
State Authorised Public Accountant
MNE-nr. / MNE-no. mne34280
</f:DescriptionOfOtherEngagement><f:AddresseeOfAuditorsReportOnOtherReport contextRef="c1">Til den daglige ledelse i Human Acceleration ApS</f:AddresseeOfAuditorsReportOnOtherReport><f:DescriptionOfOtherEngagement contextRef="c1" xml:lang="en">To the management of Human Acceleration ApS


Based on the company's accounting material and other information provided by management, we have compiled the financial statements of Human Acceleration ApS for the financial year 01.01.24 - 31.12.24.
The financial statements comprise income statement, balance sheet, statement of changes in equity and notes to the financial statements, including material accounting policy information.
We performed this compilation engagement in accordance with ISRS 4410, Engagements to Compile Financial Statements.
We have applied our professional expertise to assist management with the preparation and presentation of the financial statements in accordance with the Danish Financial Statements Act. We have complied with relevant provisions of the Danish Act on Approved Auditors and Audit Firms and the code of ethics of International Ethics Standards Board for Accountants’ International Code of Ethics for Professional Accountants (IESBA Code), including principles of integrity, professional competence and due care.
The financial statements and the accuracy and completeness of the  information used to compile them are management's responsibility.
Since a compilation engagement is not an assurance engagement, we are not required to verify the accuracy or completeness of the information provided by management for the compilation of the financial statements. Accordingly, we do not express an audit opinion or a review conclusion on whether the financial statements are prepared in accordance with the Danish Financial Statements Act.
</f:DescriptionOfOtherEngagement><f:SignatureOfAuditorsPlace contextRef="c1">Søborg</f:SignatureOfAuditorsPlace><d:NameAndSurnameOfAuditor contextRef="c1027">Philip Heick-Poulsen</d:NameAndSurnameOfAuditor><d:DescriptionOfAuditor contextRef="c1027">Statsaut. revisor</d:DescriptionOfAuditor><d:IdentificationNumberOfAuditor contextRef="c1027">mne34280</d:IdentificationNumberOfAuditor><h:DescriptionOfPrimaryActivitiesOfEntity contextRef="c1" xml:lang="da">
Væsentligste aktiviteter
Selskabets aktiviteter består i at drive konsulentvirksomhed og undervisning.

</h:DescriptionOfPrimaryActivitiesOfEntity><h:DescriptionOfPrimaryActivitiesOfEntity contextRef="c1" xml:lang="en">Primary activities
The company's main activity consists of consulting and teaching.

</h:DescriptionOfPrimaryActivitiesOfEntity><h:DescriptionOfDevelopmentInActivitiesAndFinancialAffairs contextRef="c1" xml:lang="da">Udvikling i aktiviteter og økonomiske forhold
Resultatopgørelsen for tiden 01.01.24 - 31.12.24 udviser et resultat på DKK 21.454 mod DKK 27.083 for tiden 01.01.23 - 31.12.23. Balancen viser en egenkapital på DKK 132.986.

Ledelsen finder årets resultat mindre tilfredsstillende.

</h:DescriptionOfDevelopmentInActivitiesAndFinancialAffairs><h:DescriptionOfDevelopmentInActivitiesAndFinancialAffairs contextRef="c1" xml:lang="en">Development in activities and financial affairs
The income statement for the period 01.01.24 - 31.12.24 shows a profit/loss of DKK 21,454 against DKK 27,083 for the period 01.01.23 - 31.12.23. The balance sheet shows equity of DKK 132,986.

The management considers the net profit for the year to be less satisfactory.

</h:DescriptionOfDevelopmentInActivitiesAndFinancialAffairs><h:DescriptionOfExpectedDevelopment contextRef="c1" xml:lang="da">Forventet udvikling
Selskabet forventer et positivt resultat for 2025.

</h:DescriptionOfExpectedDevelopment><h:DescriptionOfExpectedDevelopment contextRef="c1" xml:lang="en">Outlook
The company expects a profit for 2025.

</h:DescriptionOfExpectedDevelopment><h:DescriptionOfSignificantEventsOccurringAfterEndOfReportingPeriod contextRef="c1" xml:lang="da">Efterfølgende begivenheder
Efter regnskabsårets afslutning er der ikke indtruffet betydningsfulde hændelser.



</h:DescriptionOfSignificantEventsOccurringAfterEndOfReportingPeriod><h:DescriptionOfSignificantEventsOccurringAfterEndOfReportingPeriod contextRef="c1" xml:lang="en">Subsequent events
No important events have occurred after the end of the financial year.



</h:DescriptionOfSignificantEventsOccurringAfterEndOfReportingPeriod><e:GrossProfitLoss contextRef="c1" unitRef="u3" decimals="0">26619</e:GrossProfitLoss><e:GrossProfitLoss contextRef="c26" unitRef="u3" decimals="0">34382</e:GrossProfitLoss><e:OtherFinanceIncome contextRef="c1" unitRef="u3" decimals="0">402</e:OtherFinanceIncome><e:OtherFinanceIncome contextRef="c26" unitRef="u3" decimals="0">313</e:OtherFinanceIncome><e:OtherFinanceExpenses contextRef="c1" unitRef="u3" decimals="0">-373</e:OtherFinanceExpenses><e:OtherFinanceExpenses contextRef="c26" unitRef="u3" decimals="0">0</e:OtherFinanceExpenses><e:ProfitLossFromOrdinaryActivitiesBeforeTax contextRef="c1" unitRef="u3" decimals="0">27394</e:ProfitLossFromOrdinaryActivitiesBeforeTax><e:ProfitLossFromOrdinaryActivitiesBeforeTax contextRef="c26" unitRef="u3" decimals="0">34695</e:ProfitLossFromOrdinaryActivitiesBeforeTax><e:TaxExpense contextRef="c1" unitRef="u3" decimals="0">5940</e:TaxExpense><e:TaxExpense contextRef="c26" unitRef="u3" decimals="0">7612</e:TaxExpense><e:ProfitLoss contextRef="c1" unitRef="u3" decimals="0">21454</e:ProfitLoss><e:ProfitLoss contextRef="c26" unitRef="u3" decimals="0">27083</e:ProfitLoss><e:TransferredToFromRetainedEarnings contextRef="c1" unitRef="u3" decimals="0">21454</e:TransferredToFromRetainedEarnings><e:TransferredToFromRetainedEarnings contextRef="c26" unitRef="u3" decimals="0">27083</e:TransferredToFromRetainedEarnings><e:ShorttermTaxReceivables contextRef="c45" unitRef="u3" decimals="0">5060</e:ShorttermTaxReceivables><e:ShorttermTaxReceivables contextRef="c44" unitRef="u3" decimals="0">10388</e:ShorttermTaxReceivables><e:ShorttermReceivables contextRef="c45" unitRef="u3" decimals="0">5060</e:ShorttermReceivables><e:ShorttermReceivables contextRef="c44" unitRef="u3" decimals="0">10388</e:ShorttermReceivables><e:CashAndCashEquivalents contextRef="c45" unitRef="u3" decimals="0">146676</e:CashAndCashEquivalents><e:CashAndCashEquivalents contextRef="c44" unitRef="u3" decimals="0">115860</e:CashAndCashEquivalents><e:CurrentAssets contextRef="c45" unitRef="u3" decimals="0">151736</e:CurrentAssets><e:CurrentAssets contextRef="c44" unitRef="u3" decimals="0">126248</e:CurrentAssets><e:Assets contextRef="c45" unitRef="u3" decimals="0">151736</e:Assets><e:Assets contextRef="c44" unitRef="u3" decimals="0">126248</e:Assets><e:ContributedCapital contextRef="c45" unitRef="u3" decimals="0">50000</e:ContributedCapital><e:ContributedCapital contextRef="c44" unitRef="u3" decimals="0">50000</e:ContributedCapital><e:RetainedEarnings contextRef="c45" unitRef="u3" decimals="0">82986</e:RetainedEarnings><e:RetainedEarnings contextRef="c44" unitRef="u3" decimals="0">61532</e:RetainedEarnings><e:Equity contextRef="c45" unitRef="u3" decimals="0">132986</e:Equity><e:Equity contextRef="c44" unitRef="u3" decimals="0">111532</e:Equity><e:ShorttermTradePayables contextRef="c45" unitRef="u3" decimals="0">11500</e:ShorttermTradePayables><e:ShorttermTradePayables contextRef="c44" unitRef="u3" decimals="0">11000</e:ShorttermTradePayables><e:OtherPayablesIncludingTaxPayablesLiabilitiesOtherThanProvisionsShortterm contextRef="c45" unitRef="u3" decimals="0">7250</e:OtherPayablesIncludingTaxPayablesLiabilitiesOtherThanProvisionsShortterm><e:OtherPayablesIncludingTaxPayablesLiabilitiesOtherThanProvisionsShortterm contextRef="c44" unitRef="u3" decimals="0">3716</e:OtherPayablesIncludingTaxPayablesLiabilitiesOtherThanProvisionsShortterm><e:ShorttermLiabilitiesOtherThanProvisions contextRef="c45" unitRef="u3" decimals="0">18750</e:ShorttermLiabilitiesOtherThanProvisions><e:ShorttermLiabilitiesOtherThanProvisions contextRef="c44" unitRef="u3" decimals="0">14716</e:ShorttermLiabilitiesOtherThanProvisions><e:LiabilitiesOtherThanProvisions contextRef="c45" unitRef="u3" decimals="0">18750</e:LiabilitiesOtherThanProvisions><e:LiabilitiesOtherThanProvisions contextRef="c44" unitRef="u3" decimals="0">14716</e:LiabilitiesOtherThanProvisions><e:LiabilitiesAndEquity contextRef="c45" unitRef="u3" decimals="0">151736</e:LiabilitiesAndEquity><e:LiabilitiesAndEquity contextRef="c44" unitRef="u3" decimals="0">126248</e:LiabilitiesAndEquity><e:Equity contextRef="c471" unitRef="u3" decimals="0">50000</e:Equity><e:Equity contextRef="c491" unitRef="u3" decimals="0">34449</e:Equity><e:ProfitLoss contextRef="c492" unitRef="u3" decimals="0">27083</e:ProfitLoss><e:Equity contextRef="c473" unitRef="u3" decimals="0">50000</e:Equity><e:Equity contextRef="c493" unitRef="u3" decimals="0">61532</e:Equity><e:ProfitLoss contextRef="c101" unitRef="u3" decimals="0">21454</e:ProfitLoss><e:Equity contextRef="c84" unitRef="u3" decimals="0">50000</e:Equity><e:Equity contextRef="c102" unitRef="u3" decimals="0">82986</e:Equity><e:InformationOnReportingClassOfEntity contextRef="c1" xml:lang="da">Årsrapporten er aflagt i overensstemmelse med årsregnskabsloven for virksomheder i regnskabsklasse B.
</e:InformationOnReportingClassOfEntity><e:InformationOnReportingClassOfEntity contextRef="c1" xml:lang="en">The annual report is presented in accordance with the provisions of the Danish Financial Statements Act (Årsregnskabsloven) for  enterprises in reporting class B.
</e:InformationOnReportingClassOfEntity><e:DescriptionOfGeneralMattersRelatedToRecognitionMeasurementAndChangesInAccountingPolicies contextRef="c1" xml:lang="da">I resultatopgørelsen indregnes indtægter i takt med, at de indtjenes, herunder indregnes værdireguleringer af finansielle aktiver og forpligtelser. I resultatopgørelsen indregnes ligeledes alle omkostninger, herunder afskrivninger og nedskrivninger.

I balancen indregnes aktiver, 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 nedenfor for hver enkelt regnskabspost.

Ved indregning og måling tages hensyn til forudsigelige tab og risici, der fremkommer inden årsrapporten aflægges, og som be- eller afkræfter forhold, der eksisterede på balancedagen.

</e:DescriptionOfGeneralMattersRelatedToRecognitionMeasurementAndChangesInAccountingPolicies><e:DescriptionOfGeneralMattersRelatedToRecognitionMeasurementAndChangesInAccountingPolicies contextRef="c1" xml:lang="en">Income is recognised in the income statement as earned, including value adjustments of financial assets and liabilities. All expenses, including depreciation, amortisation, impairment losses and write-downs, are also recognised in the income statement.

Assets are recognised in the balance sheet when it is probable that future economic benefits will flow to the company, and the value of such assets can be measured reliably. Liabilities are recognised in the balance sheet when it is probable that future economic benefits will flow from the company, and the value of such liabilities can be measured reliably. On initial recognition, assets and liabilities are measured at cost. Subsequently, assets and liabilities are measured as described for each item below.

On recognition and measurement, account is taken of foreseeable losses and risks arising before the date at which the annual report is presented and proving or disproving matters arising on or before the balance sheet date.

</e:DescriptionOfGeneralMattersRelatedToRecognitionMeasurementAndChangesInAccountingPolicies><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfGrossProfitLoss contextRef="c1" xml:lang="da">Bruttofortjeneste indeholder nettoomsætning og omkostninger til råvarer og hjælpematerialer samt andre eksterne omkostninger.

</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfGrossProfitLoss><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfGrossProfitLoss contextRef="c1" xml:lang="en">Gross profit comprises revenue and raw materials and consumables and other external expenses.

</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfGrossProfitLoss><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfExternalExpenses contextRef="c1" xml:lang="da">Andre eksterne omkostninger omfatter omkostninger til distribution, salg og reklame, administration, lokaler og tab på debitorer i det omfang, de ikke overstiger normale nedskrivninger.

</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfExternalExpenses><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfExternalExpenses contextRef="c1" xml:lang="en">Other external expenses comprise costs relating to distribution, sales and advertising and administration, premises and bad debts to the extent that these do not exceed normal write-downs.

</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfExternalExpenses><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfFinanceIncomeAndExpenses contextRef="c1" xml:lang="da">Under andre finansielle poster indregnes renteindtægter og renteomkostninger m.v.

</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfFinanceIncomeAndExpenses><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfFinanceIncomeAndExpenses contextRef="c1" xml:lang="en">Interest income and interest expenses etc. are recognised in other net financials.

</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfFinanceIncomeAndExpenses><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxExpenses contextRef="c1" xml:lang="da">Årets aktuelle og udskudte skatter indregnes i resultatopgørelsen som skat af årets resultat med den del, der kan henføres til årets resultat, og direkte i egenkapitalen med den del, der kan henføres til poster indregnet direkte i egenkapitalen.

</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxExpenses><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxExpenses contextRef="c1" xml:lang="en">The current and deferred tax for the year is recognised in the income statement as tax on the profit/loss for the year with the portion attributable to the profit/loss for the year, and directly in equity with the portion attributable to amounts recognised directly in equity.

</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxExpenses><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfCashAndCashEquivalents contextRef="c1" xml:lang="da">Likvide beholdninger omfatter indestående på bankkonti.

</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfCashAndCashEquivalents><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfCashAndCashEquivalents contextRef="c1" xml:lang="en">Cash includes deposits in bank account.

</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfCashAndCashEquivalents><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxPayablesAndDeferredTax contextRef="c1" xml:lang="da">Skyldig og tilgodehavende aktuel skat indregnes i balancen som beregnet skat af årets skattepligtige indkomst, reguleret for betalte acontoskatter.

Udskudte skatteforpligtelser og udskudte skatteaktiver beregnes af alle midlertidige forskelle mellem regnskabsmæssige og skattemæssige værdier af aktiver og forpligtelser. Der indregnes dog ikke udskudt skat af midlertidige forskelle vedrørende skattemæssigt ikke afskrivningsberettiget goodwill samt andre poster, hvor midlertidige forskelle, bortset fra virksomhedsovertagelser, er opstået på anskaffelsestidspunktet uden at have effekt på resultat eller skattepligtig indkomst. I de tilfælde, hvor opgørelse af skatteværdien kan foretages efter forskellige beskatningsregler, måles udskudt skat på grundlag af den af ledelsen planlagte anvendelse af aktivet henholdsvis afvikling af forpligtelsen.

Udskudte skatteaktiver indregnes med den værdi, de efter vurdering forventes at kunne realiseres til ved modregning i udskudte skatteforpligtelser eller ved udligning i skat af fremtidig indtjening.

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.
</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxPayablesAndDeferredTax><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxPayablesAndDeferredTax contextRef="c1" xml:lang="en">Current tax payable and receivable is recognised in the balance sheet as tax computed on the basis of the taxable income for the year, adjusted for tax paid on account.

Deferred tax liabilities and tax assets are recognised on the basis of all temporary differences between the carrying amounts and tax bases of assets and liabilities. However, deferred tax is not recognised on temporary differences relating to goodwill which is non-amortisable for tax purposes and other items where temporary differences, except for acquisitions, have arisen at the date of acquisition without affecting the net profit or loss for the year or the taxable income. In cases where the tax value can be determined according to different taxation rules, deferred tax is measured on the basis of management’s intended use of the asset or settlement of the liability.

Deferred tax assets are recognised, following an assessment, at the expected realisable value through offsetting against deferred tax liabilities or elimination in tax on future earnings.

Deferred tax is measured on the basis of the tax rules and at the tax rates which, according to the legislation in force at the balance sheet date, will be applicable when the deferred tax is expected to crystallise as current tax.
</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxPayablesAndDeferredTax><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfLiabilitiesOtherThanProvisions contextRef="c1" xml:lang="da">Kortfristede finansielle gældsforpligtelser måles til amortiseret kostpris, hvilket normalt svarer til gældens pålydende værdi. Øvrige kortfristede gældsforpligtelser måles til nettorealisationsværdi.

</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfLiabilitiesOtherThanProvisions><e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfLiabilitiesOtherThanProvisions contextRef="c1" xml:lang="en">Short-term financial payables are measured at amortised cost, normally corresponding to the nominal value of such payables. Other short-term payables are measured at net realisable value. 

</e:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfLiabilitiesOtherThanProvisions><e:StatementOfChangesInEquity contextRef="c1" xml:lang="da">Beløb i DKK
Figures in DKK
Selskabskapital
Share capital
Overført resultat
Retained earnings


Egenkapitalopgørelse for 01.01.23 - 31.12.23
Statement of changes in equity for 01.01.23 - 31.12.23

Saldo pr. 01.01.23
50.000
34.449
Balance as at 01.01.23
Forslag til resultatdisponering
0
27.083
Net profit/loss for the year


Saldo pr. 31.12.23
50.000
61.532
Balance as at 31.12.23


Egenkapitalopgørelse for 01.01.24 - 31.12.24
Statement of changes in equity for 01.01.24 - 31.12.24

Saldo pr. 01.01.24
50.000
61.532
Balance as at 01.01.24
Forslag til resultatdisponering
0
21.454
Net profit/loss for the year


Saldo pr. 31.12.24
50.000
82.986
Balance as at 31.12.24
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