<xbrl xmlns="http://www.xbrl.org/2003/instance" xmlns:d="http://xbrl.dcca.dk/sob" xmlns:b="http://xbrl.dcca.dk/entryBalanceSheetAccountFormIncomeStatementByNature" xmlns:g="http://xbrl.dcca.dk/mrv" xmlns:f="http://xbrl.dcca.dk/arr" xmlns:e="http://xbrl.dcca.dk/cmn" xmlns:h="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:ReportingPeriodNumber contextRef="c11" unitRef="u4" decimals="INF">57</c:ReportingPeriodNumber><c:ReportingPeriodNumber contextRef="c11" unitRef="u4" decimals="INF">57</c:ReportingPeriodNumber><d:IdentificationOfApprovedAnnualReport contextRef="c11" xml:lang="da">Bestyrelsen og direktionen har dags dato behandlet og godkendt årsrapporten for regnskabsåret 1. januar - 31. december 2021 for Eduterm A/S.</d:IdentificationOfApprovedAnnualReport><d:IdentificationOfApprovedAnnualReport contextRef="c11" xml:lang="en">The supervisory board and executive board have today discussed and approved the annual report of Eduterm A/S for the financial year 1 January - 31 December 2021.</d:IdentificationOfApprovedAnnualReport><d:ConfirmationThatAnnualReportIsPresentedInAccordanceWithRequirementsProvidedForByLegislationAnyStandardsAndRequirementsProvidedByArticlesOfAssociationOrByAgreement contextRef="c11" xml:lang="da">Årsrapporten aflægges i overensstemmelse med årsregnskabsloven.</d:ConfirmationThatAnnualReportIsPresentedInAccordanceWithRequirementsProvidedForByLegislationAnyStandardsAndRequirementsProvidedByArticlesOfAssociationOrByAgreement><d:ConfirmationThatAnnualReportIsPresentedInAccordanceWithRequirementsProvidedForByLegislationAnyStandardsAndRequirementsProvidedByArticlesOfAssociationOrByAgreement contextRef="c11" xml:lang="en">The annual report is prepared in accordance with the Danish Financial Statements Act.</d:ConfirmationThatAnnualReportIsPresentedInAccordanceWithRequirementsProvidedForByLegislationAnyStandardsAndRequirementsProvidedByArticlesOfAssociationOrByAgreement><d:ConfirmationThatFinancialStatementGivesTrueAndFairViewOfAssetsLiabilitiesEquityFinancialPositionAndResults contextRef="c11" xml:lang="da">Det er vores opfattelse, at årsregnskabet giver et retvisende billede af selskabets aktiver, passiver og finansielle stilling pr. 31. december 2021 og resultatet af selskabets aktiviteter for regnskabsåret 1. januar - 31. december 2021.</d:ConfirmationThatFinancialStatementGivesTrueAndFairViewOfAssetsLiabilitiesEquityFinancialPositionAndResults><d:ConfirmationThatFinancialStatementGivesTrueAndFairViewOfAssetsLiabilitiesEquityFinancialPositionAndResults contextRef="c11" xml:lang="en">In our opinion, the financial statements give a true and fair view of the company's financial position at 31 December 2021 and of the results of the company's operations for the financial year 1 January - 31 December 2021.</d:ConfirmationThatFinancialStatementGivesTrueAndFairViewOfAssetsLiabilitiesEquityFinancialPositionAndResults><d:ManagementsStatementAboutManagementsReview contextRef="c11" xml:lang="da">Ledelsesberetningen indeholder efter vores opfattelse en retvisende redegørelse for de forhold, beretningen omhandler.</d:ManagementsStatementAboutManagementsReview><d:ManagementsStatementAboutManagementsReview contextRef="c11" xml:lang="en">In our opinion, management's review includes a fair review of the matters dealt with in the management's review.</d:ManagementsStatementAboutManagementsReview><d:RecommendationForApprovalOfAnnualReportByGeneralMeeting contextRef="c11" xml:lang="da">Årsrapporten indstilles til generalforsamlingens godkendelse.</d:RecommendationForApprovalOfAnnualReportByGeneralMeeting><d:RecommendationForApprovalOfAnnualReportByGeneralMeeting contextRef="c11" xml:lang="en">Management recommends that the annual report should be approved by the company in general meeting.</d:RecommendationForApprovalOfAnnualReportByGeneralMeeting><e:NameAndSurnameOfMemberOfExecutiveBoard contextRef="c78">Christian Rud Ingvardsen</e:NameAndSurnameOfMemberOfExecutiveBoard><e:TitleOfMemberOfExecutiveBoard contextRef="c78">direktør</e:TitleOfMemberOfExecutiveBoard><e:NameAndSurnameOfMemberOfSupervisoryBoard contextRef="c63">Frank Baumbach</e:NameAndSurnameOfMemberOfSupervisoryBoard><e:NameAndSurnameOfMemberOfSupervisoryBoard contextRef="c64">Christian Rud Ingvardsen</e:NameAndSurnameOfMemberOfSupervisoryBoard><f:AddresseeOfAuditorsReportOnAuditedFinancialStatements contextRef="c11" xml:lang="da">Til ledelsen i Eduterm A/S</f:AddresseeOfAuditorsReportOnAuditedFinancialStatements><f:AddresseeOfAuditorsReportOnAuditedFinancialStatements contextRef="c11" xml:lang="en">To the management of Eduterm A/S</f:AddresseeOfAuditorsReportOnAuditedFinancialStatements><f:OpinionOnAuditedFinancialStatements contextRef="c11" xml:lang="da">Vi har revideret årsregnskabet for Eduterm A/S for regnskabsåret 1. januar - 31. december 2021, der omfatter anvendt regnskabspraksis, resultatopgørelse, balance, egenkapitalopgørelse og noter. Årsregnskabet udarbejdes efter årsregnskabsloven.
Det er vores opfattelse, at årsregnskabet giver et retvisende billede af selskabets aktiver, passiver og finansielle stilling pr. 31. december 2021 samt af resultatet af selskabets aktiviteter for regnskabsåret 1. januar - 31. december 2021 i overensstemmelse med årsregnskabsloven.</f:OpinionOnAuditedFinancialStatements><f:OpinionOnAuditedFinancialStatements contextRef="c11" xml:lang="en">We have audited the financial statements of Eduterm A/S for the financial year 1 January - 31 December 2021, which comprise a summary of significant accounting policies, income statement, balance sheet, statement of changes in equity and notes. The financial statements are prepared under the Danish Financial Statements Act.
In our opinion, the financial statements give a true and fair view of the company's financial position at 31 December 2021 and of the results of the company's operations for the financial year 1 January - 31 December 2021 in accordance with the Danish Financial Statements Act.</f:OpinionOnAuditedFinancialStatements><f:DescriptionOfQualificationsOfAuditedFinancialStatements contextRef="c11" 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 årsregnskabet“. Vi er uafhængige af selskabet i overensstemmelse med International Ethics Standards Board for Accountants' internationale retningslinjer for revisorers etiske adfærd (IESBA’s Code) og de yderligere etiske krav, der er gældende i Danmark, ligesom vi har opfyldt vores øvrige etiske forpligtelser i henhold til disse krav og IESBA Code. Det er vores opfattelse, at det opnåede revisionsbevis er tilstrækkeligt og egnet som grundlag for vores konklusion.</f:DescriptionOfQualificationsOfAuditedFinancialStatements><f:DescriptionOfQualificationsOfAuditedFinancialStatements contextRef="c11" 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 company 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 and IESBA Code. We believe that the audit evidence we have obtained is sufficient and appropriate to provide a basis for our opinion.</f:DescriptionOfQualificationsOfAuditedFinancialStatements><f:StatementOfExecutiveAndSupervisoryBoardsResponsibilityForFinancialStatements contextRef="c11" xml:lang="da">Ledelsen har ansvaret for udarbejdelsen af 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 årsregnskab uden væsentlig fejlinformation, uanset om denne skyldes besvigelser eller fejl.
Ved udarbejdelsen af årsregnskabet er ledelsen ansvarlig for at vurdere selskabets evne til at fortsætte driften, at oplyse om forhold vedrørende fortsat drift, hvor dette er relevant, samt at udarbejde årsregnskabet på grundlag af regnskabsprincippet om fortsat drift, medmindre ledelsen enten har til hensigt at likvidere selskabet, indstille driften eller ikke har andet realistisk alternativ end at gøre dette.</f:StatementOfExecutiveAndSupervisoryBoardsResponsibilityForFinancialStatements><f:StatementOfExecutiveAndSupervisoryBoardsResponsibilityForFinancialStatements contextRef="c11" xml:lang="en">Management is responsible for the preparation of 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 the 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 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 company or to cease operations, or has no realistic alternative but to do so.</f:StatementOfExecutiveAndSupervisoryBoardsResponsibilityForFinancialStatements><f:StatementOfAuditorsResponsibilityForAuditAndAuditPerformed contextRef="c11" xml:lang="da">Vores mål er at opnå høj grad af sikkerhed for, om årsregnskabet 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 regnskabsbrugerne træffer på grundlag af årsregnskabet.
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 årsregnskabet, 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 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 årsregnskabet 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 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 årsregnskabet 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 selskabet ikke længere kan fortsætte driften.
Tager vi stilling til den samlede præsentation, struktur og indhold af årsregnskabet, herunder noteoplysningerne, samt om årsregnskabet afspejler de underliggende transaktioner og begivenheder på en sådan måde, at der gives et retvisende billede heraf.
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.</f:StatementOfAuditorsResponsibilityForAuditAndAuditPerformed><f:StatementOfAuditorsResponsibilityForAuditAndAuditPerformed contextRef="c11" 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 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 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 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.
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.</f:StatementOfAuditorsResponsibilityForAuditAndAuditPerformed><f:StatementOnManagementsReviewAuditorsReportOnAuditedFinancialStatements contextRef="c11" xml:lang="da">Udtalelse om ledelsesberetningen
Ledelsen er ansvarlig for ledelsesberetningen.
Vores konklusion om årsregnskabet omfatter ikke ledelsesberetningen, og vi udtrykker ingen form for konklusion med sikkerhed om ledelsesberetningen.
I tilknytning til vores revision af årsregnskabet er det vores ansvar at læse ledelsesberetningen og i den forbindelse overveje, om ledelsesberetningen er væsentligt inkonsistent med årsregnskabet 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 årsregnskabet og er udarbejdet i overensstemmelse med årsregnskabslovens krav. Vi har ikke fundet væsentlig fejlinformation i ledelsesberetningen.</f:StatementOnManagementsReviewAuditorsReportOnAuditedFinancialStatements><f:StatementOnManagementsReviewAuditorsReportOnAuditedFinancialStatements contextRef="c11" xml:lang="en">Statement on management's review
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 Financial Statements Act.
Based on the work we have performed, we conclude that management's review is in accordance with the financial statements and has been prepared in accordance with the requirements of the Danish Financial Statements Act. We did not identify any material misstatement of management's review.</f:StatementOnManagementsReviewAuditorsReportOnAuditedFinancialStatements><f:SignatureOfAuditorsPlace contextRef="c11">København</f:SignatureOfAuditorsPlace><f:SignatureOfAuditorsDate contextRef="c11">2022-06-22</f:SignatureOfAuditorsDate><e:NameOfAuditFirm contextRef="c12">TT Revision</e:NameOfAuditFirm><e:NameAndSurnameOfAuditor contextRef="c12">Bjarne Flyvbjerg Ericsen</e:NameAndSurnameOfAuditor><e:DescriptionOfAuditor contextRef="c12">statsautoriseret revisor</e:DescriptionOfAuditor><e:IdentificationNumberOfAuditor contextRef="c12">mne47907</e:IdentificationNumberOfAuditor><g:ManagementsReview contextRef="c11" xml:lang="da">Selskabets væsentligste aktiviteter
Selskabets formål er at udbrede viden om termodynamik mv.
Udviklingen i aktiviteter og økonomiske forhold
Selskabets resultatopgørelse for 2021 udviser et underskud på kr. 601.044, og selskabets balance pr. 31. december 2021 udviser en egenkapital på kr. 6.539.024.
Selskabets resultat har været påvirket af nedskrivninger på mellemregninger i tilknyttede selskaber.
Betydningsfulde hændelser, som er indtruffet efter regnskabsårets afslutning
Der er efter regnskabsårets afslutning ikke indtruffet begivenheder, som væsentligt vil kunne påvirke selskabets finansielle stilling.</g:ManagementsReview><g:ManagementsReview contextRef="c11" xml:lang="en">Business review
The company's purpose is to diffuse the knowledge about thermodynamics etc.
Financial review 
The company's income statement for the year ended 31 December 2021 shows a loss of kr. 601.044, and the balance sheet at 31 December 2021 shows equity of kr. 6.539.024.
The company's result has been affected by write-downs on interim accounts in associated companies.
Significant events occurring after the end of the financial year
No events have occurred after the balance sheet date which could significantly affect the company's financial position.</g:ManagementsReview><h:InformationOnReportingClassOfEntity contextRef="c11" xml:lang="da">Årsrapporten for Eduterm A/S for 2021 er aflagt i overensstemmelse med årsregnskabslovens bestemmelser for virksomheder i regnskabsklasse B.
Den anvendte regnskabspraksis er uændret i forhold til sidste år.
Årsrapporten for 2021 er aflagt i kr.</h:InformationOnReportingClassOfEntity><h:InformationOnReportingClassOfEntity contextRef="c11" xml:lang="en">The annual report of Eduterm A/S for 2021 has been prepared in accordance with the provisions of the Danish Financial Statements Act applying to enterprises of reporting class B.
The accounting policies applied are consistent with those of last year.
The annual report for 2021 is presented in kr.</h:InformationOnReportingClassOfEntity><h:ExplanationOfChangeInAccountingEstimates contextRef="c11" xml:lang="da">Der er foretaget tilpasing af sammenligningstal vedrørende præsentation af andre tilgodehavender. Korrektionen relaterer til den nedefor omtalte væsentlige fejl i tidligere år. Der er således ikke sammenlignlighed med andre tilgodehavender i sidste års regnskab.

Tilpasningen har ingen resultat- eller egenkapitalpåvirkning.
Væsentlige fejl tidligere år
Ved aflæggelsen af regnskabet for 2021 har ledelsen identificeret, at 2019 regnskabet indeholder en væsentlig fejl, som følge af mangelfulde registreringer af bevægelser på andre tilgodehavender. Fejlen er korrigeret i retrospektivt, og der er således foretaget tilpasning af sammenligningstal i regnskabet.

Den korrigerede fejl nedbringer egenkapitalen pr. 1. januar 2020 med 623 t.kr., nedbringer andre tilgodehavender med 623 t.kr.</h:ExplanationOfChangeInAccountingEstimates><h:ExplanationOfChangeInAccountingEstimates contextRef="c11" xml:lang="en">Comparative figures have been adjusted for the presentation of other receivables.The correction relates to the significant error mentioned below in previous years. Thus, there is no comparability with other receivables in last year's accounts.

The adjustment has no effect on profit or equity.
Significant errors in previous years
At the presentation of the accounts for 2021 management has identified that the 2019 accounts contain a material error due to inadequate records of movements on other receivables. The error has been corrected in retrospect, and thus comparative figures have been adjusted in the accounts.


The corrected error reduces equity per. 1 January 2020 by DKK 623 thousand, reduces other receivables by DKK 623 thousand.</h:ExplanationOfChangeInAccountingEstimates><h:DescriptionOfGeneralMattersRelatedToRecognitionMeasurementAndChangesInAccountingPolicies contextRef="c11" xml:lang="da">I resultatopgørelsen indregnes indtægter i takt med, at de indtjenes. Herudover indregnes værdireguleringer af finansielle aktiver og forpligtelser. I resultatopgørelsen indregnes ligeledes alle omkostninger, herunder afskrivninger og nedskrivninger. 
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.
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.</h:DescriptionOfGeneralMattersRelatedToRecognitionMeasurementAndChangesInAccountingPolicies><h:DescriptionOfGeneralMattersRelatedToRecognitionMeasurementAndChangesInAccountingPolicies contextRef="c11" xml:lang="en">Income is recognised in the income statement as earned, including value adjustments of financial assets and liabilities. All expenses, including amortisation, depreciation and impairment losses, 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 the asset 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 the liability can be measured reliably.
On initial recognition, assets and liabilities are measured at cost. On subsequent recognition, assets and liabilities are measured as described below for each individual accounting item.
On recognition and measurement, allowance is made for predictable losses and risks which occur before the annual report is presented and which confirm or invalidate matters existing at the balance sheet date.</h:DescriptionOfGeneralMattersRelatedToRecognitionMeasurementAndChangesInAccountingPolicies><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfGrossProfitLoss contextRef="c11" xml:lang="da">Selskabet anvender bestemmelsen i årsregnskabslovens § 32, hvorefter selskabet ikke specificere de poster, som til sammen udgør bruttotab.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfGrossProfitLoss><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfGrossProfitLoss contextRef="c11" xml:lang="en">In pursuance of section 32 of the Danish Financial Statements Act, the company does not disclose its revenue.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfGrossProfitLoss><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfOtherOperatingIncome contextRef="c11" xml:lang="da">Andre driftsindtægter indeholder regnskabsposter af sekundær karakter i forhold til virksomhedens aktiviteter, herunder fortjeneste ved salg af immaterielle og materielle anlægsaktiver.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfOtherOperatingIncome><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfOtherOperatingIncome contextRef="c11" xml:lang="en">Other operating income comprises items of a secondary nature relative to the company's activities, including gains on the sale of intangible assets and items of property, plant and equipment.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfOtherOperatingIncome><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfExternalExpenses contextRef="c11" xml:lang="da">Andre eksterne omkostninger omfatter omkostninger til administration mv.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfExternalExpenses><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfExternalExpenses contextRef="c11" xml:lang="en">Other external expenses include expenses related to administration etc.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfExternalExpenses><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfFinanceIncomeAndExpenses contextRef="c11" xml:lang="da">Finansielle indtægter og omkostninger indregnes i resultatopgørelsen med de beløb, der vedrører regnskabsåret. Finansielle poster omfatter renteindtægter og -omkostninger, realiserede og urealiserede kursgevinster og -tab vedrørende værdipapirer, samt tillæg og godtgørelse under acontoskatteordningen mv.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfFinanceIncomeAndExpenses><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfFinanceIncomeAndExpenses contextRef="c11" xml:lang="en">Financial income and expenses are recognised in the income statement at the amounts relating to the financial year. Net financials include interest income and expenses, realised and unrealised capital/exchange gains and losses on securities and surcharges and allowances under the advance-payment-of-tax scheme, etc.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfFinanceIncomeAndExpenses><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfIncomeAndExpensesFromInvestmentsInGroupEnterprisesAndAssociates contextRef="c11" xml:lang="da">I virksomhedens resultatopgørelse indregnes den forholdsmæssige andel af de enkelte dattervirksomheders resultat efter skat efter fuld eliminering af intern avance/tab.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfIncomeAndExpensesFromInvestmentsInGroupEnterprisesAndAssociates><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfIncomeAndExpensesFromInvestmentsInGroupEnterprisesAndAssociates contextRef="c11" xml:lang="en">The proportionate share of the profit/loss for the year of subsidiaries is recognised in the company's income statement after full elimination of intra-group profits/losses.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfIncomeAndExpensesFromInvestmentsInGroupEnterprisesAndAssociates><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxExpenses contextRef="c11" xml:lang="da">Virksomheden er omfattet af de danske regler om tvungen sambeskatning af koncernens danske dattervirksomheder. Dattervirksomheder indgår i sambeskatningen fra det tidspunkt, hvor de indgår i konsolideringen i koncernregnskabet og frem til det tidspunkt, hvor de udgår fra konsolideringen.
Virksomheden er administrationsselskab for sambeskatningen og afregner som følge heraf alle betalinger af selskabsskat med skattemyndighederne.
Den aktuelle danske selskabsskat fordeles ved afregning af sambeskatningsbidrag mellem de sambeskattede virksomheder i forhold til disses skattepligtige indkomster. I tilknytning hertil modtager virksomheder med skattemæssigt underskud sambeskatningsbidrag fra virksomheder, der har kunnet anvende dette underskud til nedsættelse af eget skattemæssigt overskud.
Årets skat, som består af årets aktuelle selskabsskat og ændring i udskudt skat, indregnes i resultatopgørelsen med den del, der kan henføres til årets resultat, og direkte i egenkapitalen med den del, der kan henføres til posteringer direkte i egenkapitalen.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxExpenses><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxExpenses contextRef="c11" xml:lang="en">The company is subject to the Danish rules on compulsory joint taxation of the Group's Danish subsidiaries. Subsidiaries participate in the joint taxation arrangement from the time when they are included in the consolidated financial statements and until the time when they withdraw from the consolidation.
The company acts as management company for all jointly taxed entities and, in its capacity as such, pays all income taxes to the Danish tax authorities.
On payment of joint taxation contributions, the current Danish income tax is allocated between the jointly taxed entities in proportion to their taxable income. Entities with tax losses receive joint taxation contributions from entities that have been able to use tax losses to reduce their own taxable profits.
Tax for the year, which comprises the current tax charge for the year and changes in the deferred tax charge, is recognised in the income statement as regards the portion that relates to the profit/loss for the year and directly in equity as regards the portion that relates to entries directly in equity.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxExpenses><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisForInvestmentsInSubsidiariesAndAssociates contextRef="c11" xml:lang="da">Kapitalandele i dattervirksomheder måles til den forholdsmæssige andel af virksomhedernes indre værdi opgjort efter koncernens regnskabspraksis med fradrag eller tillæg af urealiserede koncerninterne avancer og tab og med tillæg af resterende merværdier og positiv goodwill opgjort efter overtagelsesmetoden. Negativ goodwill indregnes i resultatopgørelsen ved købet af kapitalandelen. Vedrører den negative goodwill overtagne eventualforpligtelser, indtægtsføres negativ goodwill først, når eventualforpligtelserne er afviklet eller bortfaldet.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisForInvestmentsInSubsidiariesAndAssociates><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisForInvestmentsInSubsidiariesAndAssociates contextRef="c11" xml:lang="en">Investments in subsidiaries are measured at the proportionate share of the net asset value of the entities, calculated on the basis of the group's accounting policies, plus or less unrealised intra-group gains or losses and plus or less any remaining value of positive or negative goodwill stated according to the purchase method. Negative goodwill is recognised in the income statement on acquisition. Where the negative goodwill relates to contingent liabilities having been taken over, the negative goodwill is not recognised until the contingent liabilities have been settled or no longer exist.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisForInvestmentsInSubsidiariesAndAssociates><h:DescriptionOfMethodsOfInvestments contextRef="c11" xml:lang="da">Kapitalandele måles til kostpris.</h:DescriptionOfMethodsOfInvestments><h:DescriptionOfMethodsOfInvestments contextRef="c11" xml:lang="en">Investments are measured at cost.</h:DescriptionOfMethodsOfInvestments><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfInventories contextRef="c11" xml:lang="da">Varebeholdninger måles til kostpris efter FIFO-metoden.  Er nettorealisationsværdien lavere end kostprisen, nedskrives til denne lavere værdi.
Kostpris for handelsvarer samt råvarer og hjælpematerialer omfatter anskaffelsespris med tillæg af hjemtagelsesomkostninger.
Kostpris for fremstillede færdigvarer samt varer under fremstilling omfatter kostpris for råvarer, hjælpematerialer, direkte løn og indirekte produktionsomkostninger.
Nettorealisationsværdien for varebeholdninger opgøres som forventet salgspris med fradrag af direkte færdiggørelsesomkostninger og omkostninger, der afholdes for at effektuere salget. Værdien fastsættes under hensyntagen til varebeholdningers omsættelighed, ukurans og forventet udvikling i salgspris.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfInventories><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfInventories contextRef="c11" xml:lang="en">Inventories are measured at cost using theFIFO method.  Where the net realisable value is lower than the cost, inventories are recognised at this lower value.
The cost of goods for resale, raw materials and consumables comprises the purchase price plus delivery costs.
The cost of finished goods and work in progress includes the cost of raw materials, consumables, direct cost of labour and production/production overheads.
The net realisable value of inventories is calculated as the expected selling price less direct costs of completion and expenses incurred to effect the sale. The net realisable value is determined taking into account marketability, obsolescence and expected selling price movements.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfInventories><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfReceivables contextRef="c11" xml:lang="da">Tilgodehavender måles til amortiseret kostpris.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfReceivables><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfReceivables contextRef="c11" xml:lang="en">Receivables are measured at amortised cost.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfReceivables><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfDeferredIncomeAssets contextRef="c11" xml:lang="da">Periodeafgrænsningsposter, indregnet under omsætningsaktiver, omfatter afholdte omkostninger vedrørende efterfølgende regnskabsår.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfDeferredIncomeAssets><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfDeferredIncomeAssets contextRef="c11" xml:lang="en">Prepayments recognised under 'Current assets' comprises expenses incurred concerning subsequent financial years.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfDeferredIncomeAssets><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfCashAndCashEquivalents contextRef="c11" xml:lang="da">Likvider omfatter likvide beholdninger.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfCashAndCashEquivalents><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfCashAndCashEquivalents contextRef="c11" xml:lang="en">Cash and cash equivalents comprise cash.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfCashAndCashEquivalents><h:DescriptionOfMethodsOfDividends contextRef="c11" xml:lang="da">Udbytte
Foreslået udbytte vises som en særskilt post under egenkapitalen. Udbytte indregnes som en forpligtelse på tidspunktet for vedtagelse på generalforsamlingen.</h:DescriptionOfMethodsOfDividends><h:DescriptionOfMethodsOfDividends contextRef="c11" xml:lang="en">Dividends
Proposed dividends are disclosed as a separate item under equity. Dividends are recognised as a liability when declared by the annual general meeting of shareholders.</h:DescriptionOfMethodsOfDividends><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxPayablesAndDeferredTax contextRef="c11" xml:lang="da">Eduterm A/S hæfter som administrationsselskab for dattervirksomhedernes selskabsskatter over for skattemyndighederne.
Selskabet er sambeskattet med koncernforbundne danske selskaber. Den aktuelle selskabsskat fordeles mellem de sambeskattede selskaber i forhold til disses skattepligtige indkomster og med fuld fordeling med refusion vedrørende skattemæssige underskud. De sambeskattede selskaber indgår i acontoskatteordningen.
Skyldige og tilgodehavende sambeskatningsbidrag indregnes i balancen som 'Tilgodehavende sambeskatningsbidrag' eller 'Skyldige sambeskatningsbidrag'.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxPayablesAndDeferredTax><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxPayablesAndDeferredTax contextRef="c11" xml:lang="en">As management company, Eduterm A/S is liable for payment of the subsidiaries' corporate income taxes to the tax authorities.
The company and all its Danish group entities are taxed on a joint basis. The current income tax charge is allocated between the jointly taxed entities relative to their taxable income. Tax losses are allocated based on the full absorption method. The jointly taxed entities are eligible for the Danish Tax Prepayment Scheme.
Joint taxation contributions payable and receivable are recognised in the balance sheet as 'Joint taxation contributions receivable' or 'Joint taxation contributions payable'.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxPayablesAndDeferredTax><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfLiabilitiesOtherThanProvisions contextRef="c11" xml:lang="da">Gældsforpligtelser, som omfatter gæld til leverandører, tilknyttede virksomheder samt anden gæld, måles til amortiseret kostpris, hvilket sædvanligvis svarer til nominel værdi.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfLiabilitiesOtherThanProvisions><h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfLiabilitiesOtherThanProvisions contextRef="c11" xml:lang="en">Liabilities, which include trade payables, payables to group entities and other payables, are measured at amortised cost, which is usually equivalent to nominal value.</h:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfLiabilitiesOtherThanProvisions><h:GrossProfitLoss contextRef="c11" unitRef="u3" decimals="0">-61791</h:GrossProfitLoss><h:GrossProfitLoss contextRef="c32" unitRef="u3" decimals="0">-60265</h:GrossProfitLoss><h:OtherOperatingExpenses contextRef="c11" unitRef="u3" decimals="0">999780</h:OtherOperatingExpenses><h:OtherOperatingExpenses contextRef="c32" unitRef="u3" decimals="0">0</h:OtherOperatingExpenses><h:ProfitLossFromOrdinaryOperatingActivities contextRef="c11" unitRef="u3" decimals="0">-1061571</h:ProfitLossFromOrdinaryOperatingActivities><h:ProfitLossFromOrdinaryOperatingActivities contextRef="c32" unitRef="u3" decimals="0">-60265</h:ProfitLossFromOrdinaryOperatingActivities><h:IncomeFromInvestmentsInGroupEnterprises contextRef="c11" unitRef="u3" decimals="0">310574</h:IncomeFromInvestmentsInGroupEnterprises><h:IncomeFromInvestmentsInGroupEnterprises contextRef="c32" unitRef="u3" decimals="0">-247741</h:IncomeFromInvestmentsInGroupEnterprises><h:OtherFinanceIncome contextRef="c11" unitRef="u3" decimals="0">211647</h:OtherFinanceIncome><h:OtherFinanceIncome contextRef="c32" unitRef="u3" decimals="0">2066583</h:OtherFinanceIncome><h:OtherFinanceExpenses contextRef="c11" unitRef="u3" decimals="0">38971</h:OtherFinanceExpenses><h:OtherFinanceExpenses contextRef="c32" unitRef="u3" decimals="0">53134</h:OtherFinanceExpenses><h:ProfitLossFromOrdinaryActivitiesBeforeTax contextRef="c11" unitRef="u3" decimals="0">-578321</h:ProfitLossFromOrdinaryActivitiesBeforeTax><h:ProfitLossFromOrdinaryActivitiesBeforeTax contextRef="c32" unitRef="u3" decimals="0">1705443</h:ProfitLossFromOrdinaryActivitiesBeforeTax><h:TaxExpense contextRef="c11" unitRef="u3" decimals="0">22723</h:TaxExpense><h:TaxExpense contextRef="c32" unitRef="u3" decimals="0">68948</h:TaxExpense><h:ProfitLoss contextRef="c11" unitRef="u3" decimals="0">-601044</h:ProfitLoss><h:ProfitLoss contextRef="c32" unitRef="u3" decimals="0">1636495</h:ProfitLoss><h:ProfitLoss contextRef="c33" unitRef="u3" decimals="0">0</h:ProfitLoss><h:ProfitLoss contextRef="c34" unitRef="u3" decimals="0">300000</h:ProfitLoss><h:ProfitLoss contextRef="c37" unitRef="u3" decimals="0">0</h:ProfitLoss><h:ProfitLoss contextRef="c38" unitRef="u3" decimals="0">12917</h:ProfitLoss><h:ProfitLoss contextRef="c39" unitRef="u3" decimals="0">310574</h:ProfitLoss><h:ProfitLoss contextRef="c321" unitRef="u3" decimals="0">-1342615</h:ProfitLoss><h:ProfitLoss contextRef="c46" unitRef="u3" decimals="0">-911618</h:ProfitLoss><h:ProfitLoss contextRef="c47" unitRef="u3" decimals="0">2666193</h:ProfitLoss><h:LongtermInvestmentsInGroupEnterprises contextRef="c49" unitRef="u3" decimals="0">542331</h:LongtermInvestmentsInGroupEnterprises><h:LongtermInvestmentsInGroupEnterprises contextRef="c48" unitRef="u3" decimals="0">231757</h:LongtermInvestmentsInGroupEnterprises><h:LongtermInvestmentsInAssociates contextRef="c49" unitRef="u3" decimals="0">0</h:LongtermInvestmentsInAssociates><h:LongtermInvestmentsInAssociates contextRef="c48" unitRef="u3" decimals="0">0</h:LongtermInvestmentsInAssociates><h:OtherLongtermInvestments contextRef="c49" unitRef="u3" decimals="0">1425000</h:OtherLongtermInvestments><h:OtherLongtermInvestments contextRef="c48" unitRef="u3" decimals="0">1425000</h:OtherLongtermInvestments><h:LongtermInvestmentsAndReceivables contextRef="c49" unitRef="u3" decimals="0">1967331</h:LongtermInvestmentsAndReceivables><h:LongtermInvestmentsAndReceivables contextRef="c48" unitRef="u3" decimals="0">1656757</h:LongtermInvestmentsAndReceivables><h:NoncurrentAssets contextRef="c49" unitRef="u3" decimals="0">1967331</h:NoncurrentAssets><h:NoncurrentAssets contextRef="c48" unitRef="u3" decimals="0">1656757</h:NoncurrentAssets><h:RawMaterialsAndConsumables contextRef="c49" unitRef="u3" decimals="0">181514</h:RawMaterialsAndConsumables><h:RawMaterialsAndConsumables contextRef="c48" unitRef="u3" decimals="0">0</h:RawMaterialsAndConsumables><h:Inventories contextRef="c49" unitRef="u3" decimals="0">181514</h:Inventories><h:Inventories contextRef="c48" unitRef="u3" decimals="0">0</h:Inventories><h:ShorttermReceivablesFromGroupEnterprises contextRef="c49" unitRef="u3" decimals="0">3541434</h:ShorttermReceivablesFromGroupEnterprises><h:ShorttermReceivablesFromGroupEnterprises contextRef="c48" unitRef="u3" decimals="0">5151597</h:ShorttermReceivablesFromGroupEnterprises><h:OtherShorttermReceivables contextRef="c49" unitRef="u3" decimals="0">1400274</h:OtherShorttermReceivables><h:OtherShorttermReceivables contextRef="c48" unitRef="u3" decimals="0">1494809</h:OtherShorttermReceivables><h:DeferredIncomeAssets contextRef="c49" unitRef="u3" decimals="0">4500</h:DeferredIncomeAssets><h:DeferredIncomeAssets contextRef="c48" unitRef="u3" decimals="0">0</h:DeferredIncomeAssets><h:ShorttermReceivables contextRef="c49" unitRef="u3" decimals="0">4946208</h:ShorttermReceivables><h:ShorttermReceivables contextRef="c48" unitRef="u3" decimals="0">6646406</h:ShorttermReceivables><h:CashAndCashEquivalents contextRef="c49" unitRef="u3" decimals="0">459</h:CashAndCashEquivalents><h:CashAndCashEquivalents contextRef="c48" unitRef="u3" decimals="0">463</h:CashAndCashEquivalents><h:CurrentAssets contextRef="c49" unitRef="u3" decimals="0">5128181</h:CurrentAssets><h:CurrentAssets contextRef="c48" unitRef="u3" decimals="0">6646869</h:CurrentAssets><h:Assets contextRef="c49" unitRef="u3" decimals="0">7095512</h:Assets><h:Assets contextRef="c48" unitRef="u3" decimals="0">8303626</h:Assets><h:ContributedCapital contextRef="c49" unitRef="u3" decimals="0">500000</h:ContributedCapital><h:ContributedCapital contextRef="c48" unitRef="u3" decimals="0">500000</h:ContributedCapital><h:ReserveForNetRevaluationAccordingToEquityMethod contextRef="c49" unitRef="u3" decimals="0">442332</h:ReserveForNetRevaluationAccordingToEquityMethod><h:ReserveForNetRevaluationAccordingToEquityMethod contextRef="c48" unitRef="u3" decimals="0">131758</h:ReserveForNetRevaluationAccordingToEquityMethod><h:RetainedEarnings contextRef="c49" unitRef="u3" decimals="0">5596692</h:RetainedEarnings><h:RetainedEarnings contextRef="c48" unitRef="u3" decimals="0">6508310</h:RetainedEarnings><h:ProposedDividendRecognisedInEquity contextRef="c49" unitRef="u3" decimals="0">0</h:ProposedDividendRecognisedInEquity><h:ProposedDividendRecognisedInEquity contextRef="c48" unitRef="u3" decimals="0">300000</h:ProposedDividendRecognisedInEquity><h:Equity contextRef="c49" unitRef="u3" decimals="0">6539024</h:Equity><h:Equity contextRef="c48" unitRef="u3" decimals="0">7440068</h:Equity><h:ShorttermDebtToBanks contextRef="c49" unitRef="u3" decimals="0">454223</h:ShorttermDebtToBanks><h:ShorttermDebtToBanks contextRef="c48" unitRef="u3" decimals="0">303890</h:ShorttermDebtToBanks><h:ShorttermTradePayables contextRef="c49" unitRef="u3" decimals="0">37500</h:ShorttermTradePayables><h:ShorttermTradePayables contextRef="c48" unitRef="u3" decimals="0">0</h:ShorttermTradePayables><h:ShorttermPayablesToShareholdersAndManagement contextRef="c49" unitRef="u3" decimals="0">9518</h:ShorttermPayablesToShareholdersAndManagement><h:ShorttermPayablesToShareholdersAndManagement contextRef="c48" unitRef="u3" decimals="0">464666</h:ShorttermPayablesToShareholdersAndManagement><h:ShorttermTaxPayables contextRef="c49" unitRef="u3" decimals="0">24640</h:ShorttermTaxPayables><h:ShorttermTaxPayables contextRef="c48" unitRef="u3" decimals="0">68948</h:ShorttermTaxPayables><h:OtherShorttermPayables contextRef="c49" unitRef="u3" decimals="0">30607</h:OtherShorttermPayables><h:OtherShorttermPayables contextRef="c48" unitRef="u3" decimals="0">26054</h:OtherShorttermPayables><h:ShorttermLiabilitiesOtherThanProvisions contextRef="c49" unitRef="u3" decimals="0">556488</h:ShorttermLiabilitiesOtherThanProvisions><h:ShorttermLiabilitiesOtherThanProvisions contextRef="c48" unitRef="u3" decimals="0">863558</h:ShorttermLiabilitiesOtherThanProvisions><h:LiabilitiesOtherThanProvisions contextRef="c49" unitRef="u3" decimals="0">556488</h:LiabilitiesOtherThanProvisions><h:LiabilitiesOtherThanProvisions contextRef="c48" unitRef="u3" decimals="0">863558</h:LiabilitiesOtherThanProvisions><h:LiabilitiesAndEquity contextRef="c49" unitRef="u3" decimals="0">7095512</h:LiabilitiesAndEquity><h:LiabilitiesAndEquity contextRef="c48" unitRef="u3" decimals="0">8303626</h:LiabilitiesAndEquity><h:Equity contextRef="c87" unitRef="u3" decimals="0">500000</h:Equity><h:Equity contextRef="c99" unitRef="u3" decimals="0">131758</h:Equity><h:Equity contextRef="c105" unitRef="u3" decimals="0">6508310</h:Equity><h:Equity contextRef="c108" unitRef="u3" decimals="0">300000</h:Equity><h:DividendPaid contextRef="c109" unitRef="u3" decimals="0">-300000</h:DividendPaid><h:ProfitLoss contextRef="c101" unitRef="u3" decimals="0">310574</h:ProfitLoss><h:ProfitLoss contextRef="c106" unitRef="u3" decimals="0">-911618</h:ProfitLoss><h:ProfitLoss contextRef="c109" unitRef="u3" decimals="0">0</h:ProfitLoss><h:Equity contextRef="c89" unitRef="u3" decimals="0">500000</h:Equity><h:Equity contextRef="c100" unitRef="u3" decimals="0">442332</h:Equity><h:Equity contextRef="c107" unitRef="u3" decimals="0">5596692</h:Equity><h:Equity contextRef="c110" unitRef="u3" decimals="0">0</h:Equity><h:Equity contextRef="c514" unitRef="u3" decimals="0">500000</h:Equity><h:Equity contextRef="c529" unitRef="u3" decimals="0">1599373</h:Equity><h:Equity contextRef="c534" unitRef="u3" decimals="0">5030603</h:Equity><h:Equity contextRef="c537" unitRef="u3" decimals="0">1000000</h:Equity><h:Equity contextRef="c1047" unitRef="u3" decimals="0">0</h:Equity><h:IncreaseDecreaseOfEquityThroughCorrectionsOfErrors contextRef="c515" unitRef="u3" decimals="0">0</h:IncreaseDecreaseOfEquityThroughCorrectionsOfErrors><h:IncreaseDecreaseOfEquityThroughCorrectionsOfErrors contextRef="c530" unitRef="u3" decimals="0">-125000</h:IncreaseDecreaseOfEquityThroughCorrectionsOfErrors><h:IncreaseDecreaseOfEquityThroughCorrectionsOfErrors contextRef="c535" unitRef="u3" decimals="0">-1188486</h:IncreaseDecreaseOfEquityThroughCorrectionsOfErrors><h:IncreaseDecreaseOfEquityThroughCorrectionsOfErrors contextRef="c538" unitRef="u3" decimals="0">0</h:IncreaseDecreaseOfEquityThroughCorrectionsOfErrors><h:IncreaseDecreaseOfEquityThroughCorrectionsOfErrors contextRef="c1048" unitRef="u3" decimals="0">690221</h:IncreaseDecreaseOfEquityThroughCorrectionsOfErrors><h:DividendPaid contextRef="c538" unitRef="u3" decimals="0">-1000000</h:DividendPaid><h:DividendPaid contextRef="c535" unitRef="u3" decimals="0">0</h:DividendPaid><h:ExtraordinaryDividendPaid contextRef="c538" unitRef="u3" decimals="0">0</h:ExtraordinaryDividendPaid><h:ProfitLoss contextRef="c530" unitRef="u3" decimals="0">-542615</h:ProfitLoss><h:ProfitLoss contextRef="c535" unitRef="u3" decimals="0">2666193</h:ProfitLoss><h:ProfitLoss contextRef="c538" unitRef="u3" decimals="0">300000</h:ProfitLoss><h:ProfitLoss contextRef="c1048" unitRef="u3" decimals="0">12917</h:ProfitLoss><h:DistributedDividendsFromGroupEnterprises contextRef="c530" unitRef="u3" decimals="0">-800000</h:DistributedDividendsFromGroupEnterprises><h:DistributedDividendsFromGroupEnterprises contextRef="c535" unitRef="u3" decimals="0">0</h:DistributedDividendsFromGroupEnterprises><h:Equity contextRef="c516" unitRef="u3" decimals="0">500000</h:Equity><h:Equity contextRef="c531" unitRef="u3" decimals="0">131758</h:Equity><h:Equity contextRef="c536" unitRef="u3" decimals="0">6508310</h:Equity><h:Equity contextRef="c539" unitRef="u3" decimals="0">300000</h:Equity><h:Equity contextRef="c1049" unitRef="u3" decimals="0">0</h:Equity><h:InterestIncomeFromGroupEnterprises contextRef="c11" unitRef="u3" decimals="0">160000</h:InterestIncomeFromGroupEnterprises><h:InterestIncomeFromGroupEnterprises contextRef="c32" unitRef="u3" decimals="0">216057</h:InterestIncomeFromGroupEnterprises><h:OtherInterestIncome contextRef="c11" unitRef="u3" decimals="0">51647</h:OtherInterestIncome><h:OtherInterestIncome contextRef="c32" unitRef="u3" decimals="0">1850526</h:OtherInterestIncome><h:OtherFinanceIncome contextRef="c11" unitRef="u3" decimals="0">211647</h:OtherFinanceIncome><h:OtherFinanceIncome contextRef="c32" unitRef="u3" decimals="0">2066583</h:OtherFinanceIncome><h:OtherInterestExpenses contextRef="c11" unitRef="u3" decimals="0">38971</h:OtherInterestExpenses><h:OtherInterestExpenses contextRef="c32" unitRef="u3" decimals="0">53134</h:OtherInterestExpenses><h:OtherFinanceExpenses contextRef="c11" unitRef="u3" decimals="0">38971</h:OtherFinanceExpenses><h:OtherFinanceExpenses contextRef="c32" unitRef="u3" decimals="0">53134</h:OtherFinanceExpenses><h:CurrentTaxExpense contextRef="c11" unitRef="u3" decimals="0">24640</h:CurrentTaxExpense><h:CurrentTaxExpense contextRef="c32" unitRef="u3" decimals="0">68948</h:CurrentTaxExpense><h:AdjustmentsForCurrentTaxOfPriorPeriod contextRef="c11" unitRef="u3" decimals="0">-1917</h:AdjustmentsForCurrentTaxOfPriorPeriod><h:AdjustmentsForCurrentTaxOfPriorPeriod contextRef="c32" unitRef="u3" decimals="0">0</h:AdjustmentsForCurrentTaxOfPriorPeriod><h:InvestmentsGross contextRef="c50" unitRef="u3" decimals="0">100000</h:InvestmentsGross><h:InvestmentsGross contextRef="c51" unitRef="u3" decimals="0">125000</h:InvestmentsGross><h:DisposalsOfInvestments contextRef="c52" unitRef="u3" decimals="0">0</h:DisposalsOfInvestments><h:DisposalsOfInvestments contextRef="c53" unitRef="u3" decimals="0">-25000</h:DisposalsOfInvestments><h:InvestmentsGross contextRef="c54" unitRef="u3" decimals="0">100000</h:InvestmentsGross><h:InvestmentsGross contextRef="c55" unitRef="u3" decimals="0">100000</h:InvestmentsGross><h:AccumulatedRevaluationsOfInvestments contextRef="c50" unitRef="u3" decimals="0">131757</h:AccumulatedRevaluationsOfInvestments><h:AccumulatedRevaluationsOfInvestments contextRef="c51" unitRef="u3" decimals="0">1474373</h:AccumulatedRevaluationsOfInvestments><h:OtherAdjustmentsRelatedToInvestments contextRef="c52" unitRef="u3" decimals="0">0</h:OtherAdjustmentsRelatedToInvestments><h:OtherAdjustmentsRelatedToInvestments contextRef="c53" unitRef="u3" decimals="0">-294876</h:OtherAdjustmentsRelatedToInvestments><h:ProfitLossRelatedToInvestments contextRef="c52" unitRef="u3" decimals="0">310574</h:ProfitLossRelatedToInvestments><h:ProfitLossRelatedToInvestments contextRef="c53" unitRef="u3" decimals="0">-247740</h:ProfitLossRelatedToInvestments><h:DividendIncomeRelatedToInvestments contextRef="c52" unitRef="u3" decimals="0">0</h:DividendIncomeRelatedToInvestments><h:DividendIncomeRelatedToInvestments contextRef="c53" unitRef="u3" decimals="0">-800000</h:DividendIncomeRelatedToInvestments><h:AccumulatedRevaluationsOfInvestments contextRef="c54" unitRef="u3" decimals="0">442331</h:AccumulatedRevaluationsOfInvestments><h:AccumulatedRevaluationsOfInvestments contextRef="c55" unitRef="u3" decimals="0">131757</h:AccumulatedRevaluationsOfInvestments><h:LongtermInvestmentsAndReceivables contextRef="c54" unitRef="u3" decimals="0">542331</h:LongtermInvestmentsAndReceivables><h:LongtermInvestmentsAndReceivables contextRef="c55" unitRef="u3" decimals="0">231757</h:LongtermInvestmentsAndReceivables><h:RelatedEntityName contextRef="c322">Christonik ApS</h:RelatedEntityName><h:RelatedEntityRegisteredOffice contextRef="c322">Ishøj</h:RelatedEntityRegisteredOffice><h:ShareHeldByEntityOrConsolidatedEnterprisesInRelatedEntity contextRef="c323" unitRef="u4" decimals="1">80</h:ShareHeldByEntityOrConsolidatedEnterprisesInRelatedEntity><h:Equity contextRef="c323" unitRef="u3" decimals="INF">677915</h:Equity><h:ProfitLoss contextRef="c322" unitRef="u3" decimals="INF">388218</h:ProfitLoss><h:InvestmentsGross contextRef="c56" unitRef="u3" decimals="0">0</h:InvestmentsGross><h:InvestmentsGross contextRef="c59" unitRef="u3" decimals="0">25000</h:InvestmentsGross><h:DisposalsOfInvestments contextRef="c57" unitRef="u3" decimals="0">0</h:DisposalsOfInvestments><h:DisposalsOfInvestments contextRef="c60" unitRef="u3" decimals="0">-25000</h:DisposalsOfInvestments><h:InvestmentsGross contextRef="c58" unitRef="u3" decimals="0">0</h:InvestmentsGross><h:InvestmentsGross contextRef="c61" unitRef="u3" decimals="0">0</h:InvestmentsGross><h:AccumulatedRevaluationsOfInvestments contextRef="c56" unitRef="u3" decimals="0">0</h:AccumulatedRevaluationsOfInvestments><h:AccumulatedRevaluationsOfInvestments contextRef="c59" unitRef="u3" decimals="0">-25000</h:AccumulatedRevaluationsOfInvestments><h:OtherAdjustmentsRelatedToInvestments contextRef="c57" unitRef="u3" decimals="0">0</h:OtherAdjustmentsRelatedToInvestments><h:OtherAdjustmentsRelatedToInvestments contextRef="c60" unitRef="u3" decimals="0">25000</h:OtherAdjustmentsRelatedToInvestments><h:AccumulatedRevaluationsOfInvestments contextRef="c58" unitRef="u3" decimals="0">0</h:AccumulatedRevaluationsOfInvestments><h:AccumulatedRevaluationsOfInvestments contextRef="c61" unitRef="u3" decimals="0">0</h:AccumulatedRevaluationsOfInvestments><h:LongtermInvestmentsAndReceivables contextRef="c58" unitRef="u3" decimals="0">0</h:LongtermInvestmentsAndReceivables><h:LongtermInvestmentsAndReceivables contextRef="c61" unitRef="u3" decimals="0">0</h:LongtermInvestmentsAndReceivables><h:DebtRaisedAndRepaidByManagementCategoryDuringReportingPeriod contextRef="c596" unitRef="u3" decimals="0">0</h:DebtRaisedAndRepaidByManagementCategoryDuringReportingPeriod><h:DebtRaisedAndRepaidByManagementCategoryDuringReportingPeriod contextRef="c597" unitRef="u3" decimals="0">39142</h:DebtRaisedAndRepaidByManagementCategoryDuringReportingPeriod><h:DebtRepaidByManagementCategory contextRef="c596" unitRef="u3" decimals="0">0</h:DebtRepaidByManagementCategory><h:DebtRepaidByManagementCategory contextRef="c597" unitRef="u3" decimals="0">651079</h:DebtRepaidByManagementCategory><h:InterestRateRelatedToOutstandingDebtFromManagementCategory contextRef="c596" unitRef="u4" decimals="2">0</h:InterestRateRelatedToOutstandingDebtFromManagementCategory><h:InterestRateRelatedToOutstandingDebtFromManagementCategory contextRef="c597" unitRef="u4" decimals="2">10.05</h:InterestRateRelatedToOutstandingDebtFromManagementCategory><h:InformationOnClassesOfIssuedShares contextRef="c11" xml:lang="da">Virksomhedskapitalen består af 500 aktier à nominelt kr. 1.000. Ingen aktier er tillagt særlige rettigheder.
Der har ikke været ændringer i virksomhedskapitalen i de seneste 5 år.</h:InformationOnClassesOfIssuedShares><h:NumberOfIssuedShares contextRef="c199" unitRef="u1" decimals="INF">500</h:NumberOfIssuedShares><h:NominalValueOfIssuedShares contextRef="c199" unitRef="u3" decimals="0">1000</h:NominalValueOfIssuedShares><h:InformationOnClassesOfIssuedShares contextRef="c11" xml:lang="en">The share capital consists of 500 shares of a nominal value of kr. 1,000. No shares carry any special rights.
There have been no changes in the share capital during the last 5 years.</h:InformationOnClassesOfIssuedShares><h:DisclosureOfContingentLiabilities contextRef="c11" xml:lang="da">Selskabet er som administrationsselskab sambeskattet med øvrige danske tilknyttede virksomheder, og hæfter solidarisk med øvrige sambeskattede selskaber for betaling af selskabsskat for indkomståret 2021 og frem.</h:DisclosureOfContingentLiabilities><h:DisclosureOfContingentLiabilities contextRef="c11" xml:lang="en">As management company, the company is jointly taxed with other danish related parties and jointly and severally liable with other jointly taxed entities for payment of income taxes for income year 2021 onwards.</h:DisclosureOfContingentLiabilities><h:DisclosureOfMortgagesAndCollaterals contextRef="c11" xml:lang="da">Til sikkerhed for alle bankmellemværende har selskabet og dattervirksomheden Christonik ApS lagt skadesløsbrev på kr. 1 mio. løsøre.
Selskabet kautionerer for Christonik ApS mellemværende med Spar Nord.</h:DisclosureOfMortgagesAndCollaterals><h:DisclosureOfMortgagesAndCollaterals contextRef="c11" xml:lang="en">As collateral for all bank balances, the Company and the subsidiary Christonik ApS subject letter of indemnity of DKK 1 million.
The Company underwrites Christonik ApS account with Spar Nord.</h:DisclosureOfMortgagesAndCollaterals><c:InformationOnTypeOfSubmittedReport contextRef="c11">Årsrapport</c:InformationOnTypeOfSubmittedReport><c:IdentificationNumberCvrOfSubmittingEnterprise contextRef="c11">61170111</c:IdentificationNumberCvrOfSubmittingEnterprise><c:NameOfSubmittingEnterprise contextRef="c11">Eduterm A/S</c:NameOfSubmittingEnterprise><c:AddressOfSubmittingEnterpriseStreetAndNumber contextRef="c11">Industrigrenen 21</c:AddressOfSubmittingEnterpriseStreetAndNumber><c:AddressOfSubmittingEnterprisePostcodeAndTown contextRef="c11">2635 Ishøj</c:AddressOfSubmittingEnterprisePostcodeAndTown><c:ReportingPeriodStartDate contextRef="c11">2021-01-01</c:ReportingPeriodStartDate><c:ReportingPeriodEndDate contextRef="c11">2021-12-31</c:ReportingPeriodEndDate><c:PrecedingReportingPeriodStartDate contextRef="c11">2020-01-01</c:PrecedingReportingPeriodStartDate><c:PredingReportingPeriodEndDate contextRef="c11">2020-12-31</c:PredingReportingPeriodEndDate><c:IdentificationNumberCvrOfReportingEntity contextRef="c11">61170111</c:IdentificationNumberCvrOfReportingEntity><c:NameOfReportingEntity contextRef="c11">Eduterm A/S</c:NameOfReportingEntity><c:AddressOfReportingEntityStreetName contextRef="c11">Industrigrenen</c:AddressOfReportingEntityStreetName><c:AddressOfReportingEntityStreetBuildingIdentifier contextRef="c11">21</c:AddressOfReportingEntityStreetBuildingIdentifier><c:AddressOfReportingEntityPostCodeIdentifier contextRef="c11">2635</c:AddressOfReportingEntityPostCodeIdentifier><c:AddressOfReportingEntityDistrictName contextRef="c11">Ishøj</c:AddressOfReportingEntityDistrictName><c:AddressOfReportingEntityCountryIdentificationCode contextRef="c11">DK</c:AddressOfReportingEntityCountryIdentificationCode><c:AddressOfReportingEntityCountry contextRef="c11">Danmark</c:AddressOfReportingEntityCountry><c:DateOfFoundationOfReportingEntity contextRef="c11">1965-05-18</c:DateOfFoundationOfReportingEntity><c:RegisteredOfficeOfReportingEntity contextRef="c11">Ishøj</c:RegisteredOfficeOfReportingEntity><e:NameOfAuditFirm contextRef="c12">TT Revision</e:NameOfAuditFirm><e:IdentificationNumberCvrOfAuditFirm contextRef="c12">29168504</e:IdentificationNumberCvrOfAuditFirm><e:NameAndSurnameOfAuditor contextRef="c12">Bjarne Flyvbjerg Ericsen</e:NameAndSurnameOfAuditor><e:DescriptionOfAuditor contextRef="c12">statsautoriseret revisor</e:DescriptionOfAuditor><c:AddressOfAuditorStreetName contextRef="c12">Indiakaj</c:AddressOfAuditorStreetName><c:AddressOfAuditorStreetBuildingIdentifier contextRef="c12">6</c:AddressOfAuditorStreetBuildingIdentifier><c:AddressOfAuditorPostCodeIdentifier contextRef="c12">2100</c:AddressOfAuditorPostCodeIdentifier><c:AddressOfAuditorDistrictName contextRef="c12">København Ø</c:AddressOfAuditorDistrictName><c:AddressOfAuditorCountryIdentificationCode contextRef="c12">DK</c:AddressOfAuditorCountryIdentificationCode><c:AddressOfAuditorCountry contextRef="c12">Danmark</c:AddressOfAuditorCountry><c:TelephoneNumberOfAuditor contextRef="c12">33152727</c:TelephoneNumberOfAuditor><c:EmailOfAuditor contextRef="c11">tt@ttrevision.dk</c:EmailOfAuditor><c:DateOfGeneralMeeting contextRef="c11">2022-06-27</c:DateOfGeneralMeeting><c:NameAndSurnameOfChairmanOfGeneralMeeting contextRef="c11">Christian Rud Ingvardsen</c:NameAndSurnameOfChairmanOfGeneralMeeting><h:ClassOfReportingEntity contextRef="c11">Regnskabsklasse B</h:ClassOfReportingEntity><e:TypeOfAuditorAssistance contextRef="c11">Revisionspåtegning</e:TypeOfAuditorAssistance><c:ToolForPreparingTheXBRLInstanceDocument contextRef="c11">CaseWare-FSR</c:ToolForPreparingTheXBRLInstanceDocument><f:ReportingResponsibilitiesAccordingToTheDanishExecutiveOrderOnApprovedAuditorsReportsEspeciallyTheCriminalCodeAndFiscalTaxAndSubsidyLegislationAudit contextRef="c11">true</f:ReportingResponsibilitiesAccordingToTheDanishExecutiveOrderOnApprovedAuditorsReportsEspeciallyTheCriminalCodeAndFiscalTaxAndSubsidyLegislationAudit><f:ReportingResponsibilitiesAccordingToTheDanishExecutiveOrderOnApprovedAuditorsReportsEspeciallyTheCompaniesActOrEquivalentLegislationThatTheCompanyIsSubjectToAudit contextRef="c11">false</f:ReportingResponsibilitiesAccordingToTheDanishExecutiveOrderOnApprovedAuditorsReportsEspeciallyTheCompaniesActOrEquivalentLegislationThatTheCompanyIsSubjectToAudit><f:ReportingResponsibilitiesAccordingToTheDanishExecutiveOrderOnApprovedAuditorsReportsEspeciallyLegislationOnFinancialReportingIncludingAccountingAndStorageOfAccountingRecordsAudit contextRef="c11">false</f:ReportingResponsibilitiesAccordingToTheDanishExecutiveOrderOnApprovedAuditorsReportsEspeciallyLegislationOnFinancialReportingIncludingAccountingAndStorageOfAccountingRecordsAudit><f:ReportingResponsibilitiesAccordingToTheDanishExecutiveOrderOnApprovedAuditorsReportsEspeciallyOtherMattersAudit contextRef="c11">false</f:ReportingResponsibilitiesAccordingToTheDanishExecutiveOrderOnApprovedAuditorsReportsEspeciallyOtherMattersAudit><!--Aktuelle periode enkelt selskab--><context id="c11"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2021-01-01</startDate><endDate>2021-12-31</endDate></period></context><!--REVISOR1--><context id="c12"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2021-01-01</startDate><endDate>2021-12-31</endDate></period><scenario><xbrldi:typedMember dimension="e:IdentificationOfAuditorDimension"><e:auditorIdentifier>1</e:auditorIdentifier></xbrldi:typedMember></scenario></context><!--Forrige periode enkelt selskab--><context id="c32"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2020-01-01</startDate><endDate>2020-12-31</endDate></period></context><!--Udbytte Egenkapital aktuel i aaret--><context id="c33"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2021-01-01</startDate><endDate>2021-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ResultDistributionDimension">h:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Udbytte Egenkapital forrige i aaret--><context id="c34"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2020-01-01</startDate><endDate>2020-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ResultDistributionDimension">h:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Udbytte aconto aktuel i aaret--><context id="c37"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2021-01-01</startDate><endDate>2021-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ResultDistributionDimension">h:ProposedExtraordinaryDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Udbytte aconto forrige i aaret--><context id="c38"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2020-01-01</startDate><endDate>2020-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ResultDistributionDimension">h:ProposedExtraordinaryDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Nettopskrivning aktuel i aaret--><context id="c39"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2021-01-01</startDate><endDate>2021-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ResultDistributionDimension">h:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Overfoert resultat aktuel i aaret--><context id="c46"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2021-01-01</startDate><endDate>2021-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ResultDistributionDimension">h:RetainedEarningsMember</xbrldi:explicitMember></scenario></context><!--Overfoert resultat forrige i aaret--><context id="c47"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2020-01-01</startDate><endDate>2020-12-31</endDate></period><scenario><xbrldi:explicitMember 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scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2021-01-01</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfInvestmentsDimension">h:InvestmentsInAssociatesMember</xbrldi:explicitMember></scenario></context><!--Kapitalandel associerede aktuel i aaret--><context id="c57"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2021-01-01</startDate><endDate>2021-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfInvestmentsDimension">h:InvestmentsInAssociatesMember</xbrldi:explicitMember></scenario></context><!--Kapitalandel associerede aktuel ultimo--><context id="c58"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2021-12-31</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfInvestmentsDimension">h:InvestmentsInAssociatesMember</xbrldi:explicitMember></scenario></context><!--Kapitalandel associerede forrige primo--><context id="c59"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2020-01-01</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfInvestmentsDimension">h:InvestmentsInAssociatesMember</xbrldi:explicitMember></scenario></context><!--Kapitalandel associerede forrige i aaret--><context id="c60"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2020-01-01</startDate><endDate>2020-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfInvestmentsDimension">h:InvestmentsInAssociatesMember</xbrldi:explicitMember></scenario></context><!--Kapitalandel associerede forrige ultimo--><context id="c61"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2020-12-31</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfInvestmentsDimension">h:InvestmentsInAssociatesMember</xbrldi:explicitMember></scenario></context><!--BOARD1--><context id="c63"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2021-01-01</startDate><endDate>2021-12-31</endDate></period><scenario><xbrldi:typedMember dimension="e:IdentificationOfMemberOfSupervisoryBoardDimension"><e:memberOfBoardIdentifier>1</e:memberOfBoardIdentifier></xbrldi:typedMember></scenario></context><!--BOARD2--><context id="c64"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2021-01-01</startDate><endDate>2021-12-31</endDate></period><scenario><xbrldi:typedMember dimension="e:IdentificationOfMemberOfSupervisoryBoardDimension"><e:memberOfBoardIdentifier>2</e:memberOfBoardIdentifier></xbrldi:typedMember></scenario></context><!--CEO1--><context id="c78"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2021-01-01</startDate><endDate>2021-12-31</endDate></period><scenario><xbrldi:typedMember dimension="e:IdentificationOfMemberOfExecutiveBoardDimension"><e:memberOfBoardIdentifier>1</e:memberOfBoardIdentifier></xbrldi:typedMember></scenario></context><!--Virksomhedskapital aktuel primo--><context id="c87"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2021-01-01</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ContributedCapitalMember</xbrldi:explicitMember></scenario></context><!--Virksomhedskapital aktuel ultimo--><context id="c89"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2021-12-31</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ContributedCapitalMember</xbrldi:explicitMember></scenario></context><!--Reserve for nettoopskrivning indre vardi aktuel primo--><context id="c99"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2021-01-01</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Reserve for nettoopskrivning indre vardi aktuel ultimo--><context id="c100"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2021-12-31</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Reserve for nettoopskrivning indre vardi aktuel i aaret--><context id="c101"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2021-01-01</startDate><endDate>2021-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Overfort res aktuel primo--><context id="c105"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2021-01-01</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:RetainedEarningsMember</xbrldi:explicitMember></scenario></context><!--Overfort res aktuel i aaret--><context id="c106"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2021-01-01</startDate><endDate>2021-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:RetainedEarningsMember</xbrldi:explicitMember></scenario></context><!--Overfort res aktuel ultimo--><context id="c107"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2021-12-31</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:RetainedEarningsMember</xbrldi:explicitMember></scenario></context><!--Udbytte aktuel primo--><context id="c108"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2021-01-01</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Udbytte aktuel i aaret--><context id="c109"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2021-01-01</startDate><endDate>2021-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Udbytte aktuel ultimo--><context id="c110"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2021-12-31</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Aktiespec1--><context id="c199"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2021-12-31</instant></period><scenario><xbrldi:typedMember dimension="h:IdentificationOfClassOfSharesDimension"><h:classOfSharesIdentifier>1</h:classOfSharesIdentifier></xbrldi:typedMember></scenario></context><!--Nettopskrivning forrige i aaret--><context id="c321"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2020-01-01</startDate><endDate>2020-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ResultDistributionDimension">h:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Datterselskab1--><context id="c322"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2021-01-01</startDate><endDate>2021-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:TypeOfRelatedEntityDimension">h:SubsidiaryMember</xbrldi:explicitMember><xbrldi:typedMember dimension="h:IdentificationOfRelatedEntityDimension"><h:relatedEntityIdentifier>1</h:relatedEntityIdentifier></xbrldi:typedMember></scenario></context><!--Datterselskab ultimo1--><context id="c323"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2021-12-31</instant></period><scenario><xbrldi:explicitMember dimension="h:TypeOfRelatedEntityDimension">h:SubsidiaryMember</xbrldi:explicitMember><xbrldi:typedMember dimension="h:IdentificationOfRelatedEntityDimension"><h:relatedEntityIdentifier>1</h:relatedEntityIdentifier></xbrldi:typedMember></scenario></context><!--Virksomhedskapital forrige EKprimo--><context id="c514"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2020-01-01</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ContributedCapitalMember</xbrldi:explicitMember></scenario></context><!--Virksomhedskapital forrige EKi aaret--><context id="c515"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2020-01-01</startDate><endDate>2020-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ContributedCapitalMember</xbrldi:explicitMember></scenario></context><!--Virksomhedskapital forrige EKultimo--><context id="c516"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2020-12-31</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ContributedCapitalMember</xbrldi:explicitMember></scenario></context><!--Reserve for nettoopskrivning indre vardi forrige EKprimo--><context id="c529"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2020-01-01</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Reserve for nettoopskrivning indre vardi forrige EKi aaret--><context id="c530"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2020-01-01</startDate><endDate>2020-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Reserve for nettoopskrivning indre vardi forrige EKultimo--><context id="c531"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2020-12-31</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ReserveForNetRevaluationAccordingToEquityMethodMember</xbrldi:explicitMember></scenario></context><!--Overfort res forrige EKprimo--><context id="c534"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2020-01-01</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:RetainedEarningsMember</xbrldi:explicitMember></scenario></context><!--Overfort res forrige EKi aaret--><context id="c535"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2020-01-01</startDate><endDate>2020-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:RetainedEarningsMember</xbrldi:explicitMember></scenario></context><!--Overfort res forrige EKultimo--><context id="c536"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2020-12-31</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:RetainedEarningsMember</xbrldi:explicitMember></scenario></context><!--Udbytte forrige EKprimo--><context id="c537"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2020-01-01</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Udbytte forrige EKi aaret--><context id="c538"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2020-01-01</startDate><endDate>2020-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Udbytte forrige EKultimo--><context id="c539"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2020-12-31</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ProposedDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--LAANDIR aktuel i aaret--><context id="c596"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2021-01-01</startDate><endDate>2021-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ManagementCategoryDimension">h:ManagementMember</xbrldi:explicitMember></scenario></context><!--LAANDIR forrige i aaret--><context id="c597"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2020-01-01</startDate><endDate>2020-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ManagementCategoryDimension">h:ManagementMember</xbrldi:explicitMember></scenario></context><!--Ekstraordinart udbytte forrige EKprimo--><context id="c1047"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2020-01-01</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ProposedExtraordinaryDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Ekstraordinart udbytte forrige EKi aaret--><context id="c1048"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><startDate>2020-01-01</startDate><endDate>2020-12-31</endDate></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ProposedExtraordinaryDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Ekstraordinart udbytte forrige EKultimo--><context id="c1049"><entity><identifier scheme="http://www.dcca.dk/cvr">61170111</identifier></entity><period><instant>2020-12-31</instant></period><scenario><xbrldi:explicitMember dimension="h:ClassesOfEquityDimension">h:ProposedExtraordinaryDividendRecognisedInEquityMember</xbrldi:explicitMember></scenario></context><!--Aktier--><unit id="u1"><measure>xbrli:shares</measure></unit><!--DKK enere--><unit id="u3"><measure>iso4217:DKK</measure></unit><!--Antal--><unit id="u4"><measure>xbrli:pure</measure></unit></xbrl>
