<xbrl xmlns="http://www.xbrl.org/2003/instance" xmlns:e="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:g="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/20241001/entryDanishGAAPBalanceSheetAccountFormIncomeStatementByNatureIncludingManagementsReviewStatisticsAndTax20241001.xsd" xml:lang="da"><link:schemaRef xlink:type="simple" xlink:href="http://archprod.service.eogs.dk/taxonomy/20241001/entryDanishGAAPBalanceSheetAccountFormIncomeStatementByNatureIncludingManagementsReviewStatisticsAndTax20241001.xsd"/><c:NameOfSubmittingEnterprise contextRef="c40" xml:lang="da">BDO Statsautoriseret revisionsaktieselskab</c:NameOfSubmittingEnterprise><c:AddressOfSubmittingEnterpriseStreetAndNumber contextRef="c40" xml:lang="da">Havneholmen 29</c:AddressOfSubmittingEnterpriseStreetAndNumber><c:AddressOfSubmittingEnterprisePostcodeAndTown contextRef="c40" xml:lang="da">DK-1561 København V</c:AddressOfSubmittingEnterprisePostcodeAndTown><c:IdentificationNumberCvrOfSubmittingEnterprise contextRef="c40" xml:lang="da">20222670</c:IdentificationNumberCvrOfSubmittingEnterprise><c:InformationOnTypeOfSubmittedReport contextRef="c40">Årsrapport</c:InformationOnTypeOfSubmittedReport><c:DateOfGeneralMeeting contextRef="c40">2025-07-01</c:DateOfGeneralMeeting><c:NameAndSurnameOfChairmanOfGeneralMeeting contextRef="c40" xml:lang="da">Hans Henrik Bondegaard</c:NameAndSurnameOfChairmanOfGeneralMeeting><c:NameOfReportingEntity contextRef="c40" xml:lang="da">XcelCyte A/S (Under frivillig likvidation)</c:NameOfReportingEntity><c:AddressOfReportingEntityStreetName contextRef="c40" xml:lang="da">Søndergade 74, 5.</c:AddressOfReportingEntityStreetName><c:AddressOfReportingEntityPostCodeIdentifier contextRef="c40" xml:lang="da">8000 Aarhus C</c:AddressOfReportingEntityPostCodeIdentifier><d:TypeOfAuditorAssistance contextRef="c40" xml:lang="da">Andre erklæringer uden sikkerhed</d:TypeOfAuditorAssistance><c:IdentificationNumberCvrOfReportingEntity contextRef="c40" xml:lang="da">41466162</c:IdentificationNumberCvrOfReportingEntity><c:DateOfFoundationOfReportingEntity contextRef="c40">2020-06-26</c:DateOfFoundationOfReportingEntity><c:RegisteredOfficeOfReportingEntity contextRef="c40" xml:lang="da">Aarhus</c:RegisteredOfficeOfReportingEntity><c:ReportingPeriodStartDate contextRef="c40">2024-01-01</c:ReportingPeriodStartDate><c:ReportingPeriodEndDate contextRef="c40">2024-12-31</c:ReportingPeriodEndDate><c:PrecedingReportingPeriodStartDate contextRef="c40">2023-01-01</c:PrecedingReportingPeriodStartDate><c:PredingReportingPeriodEndDate contextRef="c40">2023-12-31</c:PredingReportingPeriodEndDate><d:NameOfAuditFirm contextRef="c40" xml:lang="da">BDO Statsautoriseret revisionsaktieselskab</d:NameOfAuditFirm><c:AddressOfAuditorStreetName contextRef="c40" xml:lang="da">Havneholmen</c:AddressOfAuditorStreetName><c:AddressOfAuditorStreetBuildingIdentifier contextRef="c40" xml:lang="da">29</c:AddressOfAuditorStreetBuildingIdentifier><c:AddressOfAuditorPostCodeIdentifier contextRef="c40" xml:lang="da">1561</c:AddressOfAuditorPostCodeIdentifier><c:AddressOfAuditorDistrictName contextRef="c40" xml:lang="da">København V</c:AddressOfAuditorDistrictName><c:NameOfFinancialInstitution contextRef="c40" xml:lang="da">Handelsbanken</c:NameOfFinancialInstitution><c:AddressOfFinancialStreetName contextRef="c40" xml:lang="da">Klampenborgvej</c:AddressOfFinancialStreetName><c:AddressOfFinancialStreetBuildingIdentifier contextRef="c40" xml:lang="da">221, 1.</c:AddressOfFinancialStreetBuildingIdentifier><c:AddressOfFinancialPostCodeIdentifier contextRef="c40" xml:lang="da">2800</c:AddressOfFinancialPostCodeIdentifier><c:AddressOfFinancialDistrictName contextRef="c40" xml:lang="da">Kgs. Lyngby</c:AddressOfFinancialDistrictName><e:PlaceOfSignatureOfStatement contextRef="c40" xml:lang="da">Hørsholm</e:PlaceOfSignatureOfStatement><e:DateOfApprovalOfAnnualReport contextRef="c40">2025-07-01</e:DateOfApprovalOfAnnualReport><d:NameAndSurnameOfMemberOfExecutiveBoard contextRef="c820" xml:lang="da">Hans Henrik Højrup Bondegaard</d:NameAndSurnameOfMemberOfExecutiveBoard><f:SignatureOfAuditorsPlace contextRef="c40" xml:lang="da">København</f:SignatureOfAuditorsPlace><f:SignatureOfAuditorsDate contextRef="c40">2025-07-01</f:SignatureOfAuditorsDate><d:NameOfAuditFirm contextRef="c299" xml:lang="da">BDO Statsautoriseret revisionsaktieselskab</d:NameOfAuditFirm><d:IdentificationNumberCvrOfAuditFirm contextRef="c299" xml:lang="da">20222670</d:IdentificationNumberCvrOfAuditFirm><d:NameAndSurnameOfAuditor contextRef="c299" xml:lang="da">Per Frost Jensen</d:NameAndSurnameOfAuditor><d:TypeOfAuditorAssistance contextRef="c40" xml:lang="da">Andre erklæringer uden sikkerhed</d:TypeOfAuditorAssistance><d:DescriptionOfAuditor contextRef="c299" xml:lang="da">Statsautoriseret revisor</d:DescriptionOfAuditor><d:IdentificationNumberOfAuditor contextRef="c299" xml:lang="da">mne27740</d:IdentificationNumberOfAuditor><g:GrossProfitLoss contextRef="c40" unitRef="u1" decimals="0">-16526</g:GrossProfitLoss><g:GrossProfitLoss contextRef="c182" unitRef="u1" decimals="0">-20700</g:GrossProfitLoss><g:ProfitLossFromOrdinaryOperatingActivities contextRef="c40" unitRef="u1" decimals="0">-16526</g:ProfitLossFromOrdinaryOperatingActivities><g:ProfitLossFromOrdinaryOperatingActivities contextRef="c182" unitRef="u1" decimals="0">-20700</g:ProfitLossFromOrdinaryOperatingActivities><g:OtherFinanceIncome contextRef="c40" unitRef="u1" decimals="0">511</g:OtherFinanceIncome><g:OtherFinanceIncome contextRef="c182" unitRef="u1" decimals="0">50</g:OtherFinanceIncome><g:OtherFinanceExpenses contextRef="c40" unitRef="u1" decimals="0">3239</g:OtherFinanceExpenses><g:OtherFinanceExpenses contextRef="c182" unitRef="u1" decimals="0">15628</g:OtherFinanceExpenses><g:ProfitLossFromOrdinaryActivitiesBeforeTax contextRef="c40" unitRef="u1" decimals="0">-19254</g:ProfitLossFromOrdinaryActivitiesBeforeTax><g:ProfitLossFromOrdinaryActivitiesBeforeTax contextRef="c182" unitRef="u1" decimals="0">-36278</g:ProfitLossFromOrdinaryActivitiesBeforeTax><g:TaxExpense contextRef="c40" unitRef="u1" decimals="0">0</g:TaxExpense><g:TaxExpense contextRef="c182" unitRef="u1" decimals="0">0</g:TaxExpense><g:ProfitLoss contextRef="c40" unitRef="u1" decimals="0">-19254</g:ProfitLoss><g:ProfitLoss contextRef="c182" unitRef="u1" decimals="0">-36278</g:ProfitLoss><g:TransferredToFromRetainedEarnings contextRef="c40" unitRef="u1" decimals="0">-19254</g:TransferredToFromRetainedEarnings><g:TransferredToFromRetainedEarnings contextRef="c182" unitRef="u1" decimals="0">-36278</g:TransferredToFromRetainedEarnings><g:ProfitLoss 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decimals="0">188503</g:Assets><g:Assets contextRef="c179" unitRef="u1" decimals="0">213069</g:Assets><g:ContributedCapital contextRef="c178" unitRef="u1" decimals="0">460000</g:ContributedCapital><g:ContributedCapital contextRef="c179" unitRef="u1" decimals="0">460000</g:ContributedCapital><g:RetainedEarnings contextRef="c178" unitRef="u1" decimals="0">-478918</g:RetainedEarnings><g:RetainedEarnings contextRef="c179" unitRef="u1" decimals="0">-459664</g:RetainedEarnings><g:Equity contextRef="c178" unitRef="u1" decimals="0">-18918</g:Equity><g:Equity contextRef="c179" unitRef="u1" decimals="0">336</g:Equity><g:ShorttermTradePayables contextRef="c178" unitRef="u1" decimals="0">9950</g:ShorttermTradePayables><g:ShorttermTradePayables contextRef="c179" unitRef="u1" decimals="0">18500</g:ShorttermTradePayables><g:ShorttermPayablesToAssociates contextRef="c178" unitRef="u1" decimals="0">194232</g:ShorttermPayablesToAssociates><g:ShorttermPayablesToAssociates contextRef="c179" unitRef="u1" decimals="0">194233</g:ShorttermPayablesToAssociates><g:ShorttermLiabilitiesOtherThanProvisions contextRef="c178" unitRef="u1" decimals="0">207421</g:ShorttermLiabilitiesOtherThanProvisions><g:ShorttermLiabilitiesOtherThanProvisions contextRef="c179" unitRef="u1" decimals="0">212733</g:ShorttermLiabilitiesOtherThanProvisions><g:LiabilitiesOtherThanProvisions contextRef="c178" unitRef="u1" decimals="0">207421</g:LiabilitiesOtherThanProvisions><g:LiabilitiesOtherThanProvisions contextRef="c179" unitRef="u1" decimals="0">212733</g:LiabilitiesOtherThanProvisions><g:LiabilitiesAndEquity contextRef="c178" unitRef="u1" decimals="0">188503</g:LiabilitiesAndEquity><g:LiabilitiesAndEquity contextRef="c179" unitRef="u1" decimals="0">213069</g:LiabilitiesAndEquity><g:Equity contextRef="c188" unitRef="u1" decimals="0">460000</g:Equity><g:Equity contextRef="c209" unitRef="u1" decimals="0">-459664</g:Equity><g:ProfitLoss contextRef="c208" unitRef="u1" decimals="0">-19254</g:ProfitLoss><g:Equity contextRef="c189" unitRef="u1" decimals="0">460000</g:Equity><g:Equity contextRef="c210" unitRef="u1" decimals="0">-478918</g:Equity><g:OtherInterestExpenses contextRef="c40" unitRef="u1" decimals="0">3239</g:OtherInterestExpenses><g:OtherInterestExpenses contextRef="c182" unitRef="u1" decimals="0">15628</g:OtherInterestExpenses><g:OtherFinanceExpenses contextRef="c40" unitRef="u1" decimals="0">3239</g:OtherFinanceExpenses><g:OtherFinanceExpenses contextRef="c182" unitRef="u1" decimals="0">15628</g:OtherFinanceExpenses><g:AverageNumberOfEmployees contextRef="c40" unitRef="u0" decimals="0">1</g:AverageNumberOfEmployees><g:AverageNumberOfEmployees contextRef="c182" unitRef="u0" decimals="0">1</g:AverageNumberOfEmployees><g:ClassOfReportingEntity contextRef="c40">Regnskabsklasse B</g:ClassOfReportingEntity><g:SelectedElementsFromReportingClassC contextRef="c40">true</g:SelectedElementsFromReportingClassC><g:AccountingPoliciesAreUnchangedFromPreviousPeriod contextRef="c40">true</g:AccountingPoliciesAreUnchangedFromPreviousPeriod><e:IdentificationOfApprovedAnnualReport contextRef="c40">Ledelsen har dags dato behandlet og godkendt årsrapporten for regnskabsåret 1. januar - 31. december 2024 for XcelCyte A/S (Under frivillig likvidation).

Today the Management have discussed and approved the Annual Report of XcelCyte A/S (Under frivillig likvidation) for the financial year 1 January  - 31 December 2024.






</e:IdentificationOfApprovedAnnualReport><e:ConfirmationThatAnnualReportIsPresentedInAccordanceWithRequirementsProvidedForByLegislationAnyStandardsAndRequirementsProvidedByArticlesOfAssociationOrByAgreement contextRef="c40">Årsrapporten aflægges i overensstemmelse med årsregnskabsloven.

The Annual Report is presented in accordance with the Danish Financial Statements Act.






</e:ConfirmationThatAnnualReportIsPresentedInAccordanceWithRequirementsProvidedForByLegislationAnyStandardsAndRequirementsProvidedByArticlesOfAssociationOrByAgreement><e:ConfirmationThatFinancialStatementGivesTrueAndFairViewOfAssetsLiabilitiesEquityFinancialPositionAndResults contextRef="c40">Det er min opfattelse, at årsregnskabet giver et retvisende billede af selskabets aktiver, passiver og finansielle stilling pr. 31. december 2024 samt af resultatet af selskabets aktiviteter for regnskabsåret 1. januar - 31. december 2024.

In my opinion the Financial Statements give a true and fair view of the Company's assets, liabilities and financial position at 31 December 2024 and of the results of the Company's operations for the financial year 1 January  - 31 December 2024.







</e:ConfirmationThatFinancialStatementGivesTrueAndFairViewOfAssetsLiabilitiesEquityFinancialPositionAndResults><e:ManagementsStatementAboutManagementsReview contextRef="c40">Ledelsesberetningen indeholder efter min opfattelse en retvisende redegørelse for de forhold, beretningen omhandler.

The Management Commentary includes in my opinion a fair presentation of the matters dealt with in the Commentary.








</e:ManagementsStatementAboutManagementsReview><e:ConfirmationThatFinancialStatementsAreExemptedFromAuditing contextRef="c40">Ledelsen anser fortsat betingelserne for at undlade revision for opfyldte. 

The Management remain of the opinion that the conditions for opting out of audit have been fulfilled. 


</e:ConfirmationThatFinancialStatementsAreExemptedFromAuditing><e:RecommendationForApprovalOfAnnualReportByGeneralMeeting contextRef="c40">Årsrapporten indstilles til generalforsamlingens godkendelse. 

I recommend the Annual Report be approved at the Annual General Meeting.


</e:RecommendationForApprovalOfAnnualReportByGeneralMeeting><f:AddresseeOfAuditorsReportOnOtherReport contextRef="c40">Til likvidator i XcelCyte A/S (Under frivillig likvidation)  

To the Shareholder of XcelCyte A/S (Under frivillig likvidation)



</f:AddresseeOfAuditorsReportOnOtherReport><f:DescriptionOfOtherEngagement contextRef="c40">Vi har opstillet årsregnskabet for XcelCyte A/S (Under frivillig likvidation) for regnskabsåret 1. januar - 31. december 2024 på grundlag af selskabets bogføring og øvrige oplysninger, som ledelsen har tilvejebragt. 

We have compiled these Financial Statements of XcelCyte A/S (Under frivillig likvidation) for the financial year 1 January - 31 December 2024 based on the Company's accounting records and other information provided by Management. 

Årsregnskabet omfatter resultatopgørelse, balance, egenkapitalopgørelse, noter og anvendt regnskabspraksis. 

These Financial Statements comprise income statement, balance sheet, statement of changes in equity, notes and accounting policies. 

Vi har udført opgaven i overensstemmelse med den internationale standard, Opgaver om opstilling af finansielle oplysninger. 

We performed this compilation engagement in accordance with the International Standard, Compilation Engagements. 

Vi har anvendt vores faglige ekspertise til at assistere ledelsen 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. 

We have applied our professional expertise to assist Management in the preparation and presentation of these Financial Statements in accordance with the Danish Financial Statements Act. We have complied with relevant statutory provisions of the Danish Audit Act and International Ethics Standards Board for Accountants’ International Code of Ethics for Professional Accountants (including International Independence Standards) (IESBA Code), including principles of integrity, objectivity, professional behaviour, and due care. 

Årsregnskabet samt nøjagtigheden og fuldstændigheden af de oplysninger, der er anvendt til opstillingen af årsregnskabet, er ledelsens ansvar. 

These Financial Statements and the accuracy and completeness of the information used to compile these Financial Statements are Management’s responsibility. 

Da en opgave om opstilling af finansielle oplysninger ikke er en erklæringsopgave med sikkerhed, er vi ikke forpligtede til at verificere nøjagtigheden eller fuldstændigheden af de oplysninger, ledelsen har givet os til brug for at opstille årsregnskabet. Vi udtrykker derfor ingen revisions- eller reviewkonklusion om, hvorvidt årsregnskabet er udarbejdet i overensstemmelse med årsregnskabsloven. 

Since an engagement to compile financial information is not an assurance engagement, we are not required to verify the accuracy or completeness of the information provided by Management to us to compile these Financial Statements. Accordingly, we do not express an audit opinion or a review conclusion on whether these Financial Statements are prepared in accordance with the Danish Financial Statements Act. 
</f:DescriptionOfOtherEngagement><h:DescriptionOfPrimaryActivitiesOfEntity contextRef="c40">Væsentligste aktiviteter

Principal activities

Selskabets væsentligste aktiviteter er at forske i, udvikle, producere og markedsføre medicinske, farmaceutiske, gen- og celleterapi, samt tekniske produkter og serviceydelser samt anden dertil knyttet virksomhed efter bestyrelsens nærmere bestemmelse.  

The Company’s activities comprise of research, development, production and market medical, pharmaceutical, genetic and cell therapy, as well as technical products and services and other associated business.   
</h:DescriptionOfPrimaryActivitiesOfEntity><h:DescriptionOfDevelopmentInActivitiesAndFinancialAffairs contextRef="c40">Udviklingen i aktiviteter og økonomiske forhold

Development in activities and financial and economic position

Idet selskabet er trådt i likvidation, er alle aktiver målt til realisationsværdi i lighed med tidligere år. 

As the company has entered liquidation, all assets have been measured at realizable value, similar to previous years. 

Selskabets egenkapital vil blive reetableret ved gældskonvertering i forbindelse med likvidationen.  

The company's equity will be re-established through a debt conversion in connection with the liquidation.  
</h:DescriptionOfDevelopmentInActivitiesAndFinancialAffairs><h:DescriptionOfSignificantEventsOccurringAfterEndOfReportingPeriod contextRef="c40">Betydningsfulde begivenheder, indtruffet efter regnskabsårets afslutning

Significant events after the end of the financial year

Der er ikke efter regnskabsårets afslutning indtruffet begivenheder af væsentlig betydning for selskabets finansielle stilling. 

No events have occurred after the end of the financial year of material importance for the Company's financial position. 
</h:DescriptionOfSignificantEventsOccurringAfterEndOfReportingPeriod><g:DisclosureOfEquity contextRef="c40">kr.
Aktiekapital
Overført resultat
I alt
DKK
Share capital
Retained earnings
Total


Egenkapital 1. januar 2024
460.000
-459.664
336
Equity at 1 January 2024






Forslag til resultatdisponering 

-19.254
-19.254
Proposed loss allocation 







Egenkapital 31. december 2024
460.000
-478.918
-18.918
Equity at 31 December 2024












</g:DisclosureOfEquity><g:DisclosureOfOtherFinanceExpenses contextRef="c40">1 | Øvrige finansielle omkostninger
Other financial expenses




Finansielle omkostninger i øvrigt 
Other interest expenses
3.239
15.628







3.239
15.628


</g:DisclosureOfOtherFinanceExpenses><g:DisclosureOfShorttermLiabilities contextRef="c40">2 | Gæld til associerede virksomheder
Debt to associated enterprises


Selskabets ultimative ejere har overfor selskabets kreditorer afgivet tilbagetrædelseserklæringer vedrørende det til en hver tid værende skyldige beløb til de ultimative ejere.  Saldoen udgør pr. balancedagen 194 tkr.
Oversættelse

</g:DisclosureOfShorttermLiabilities><g:DisclosureOfEmployeeBenefitsExpense contextRef="c40">3 | Medarbejderforhold
Staff costs



Antal heltidsbeskæftigede personer i gennemsnit:
Average number of full time employees
1
1






</g:DisclosureOfEmployeeBenefitsExpense><g:InformationOnReportingClassOfEntity contextRef="c40">Årsrapporten for XcelCyte A/S (Under frivillig likvidation) for 2024 er aflagt i overensstemmelse med den danske årsregnskabslovs bestemmelser for virksomheder i regnskabsklasse B med tilvalg af regler fra regnskabsklasse C. 

The Annual Report of XcelCyte A/S (Under frivillig likvidation) for 2024 has been presented in accordance with the provisions of the Danish Financial Statements Act for enterprises in reporting class B  and certain provisions applying to reporting class C. 
Regnskabsklasse B1
true
true
Årsrapporten er udarbejdet efter samme regnskabspraksis som sidste år. 

The Annual Report is prepared consistently with the accounting principles applied last year. 

</g:InformationOnReportingClassOfEntity><g:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfExternalExpenses contextRef="c40">Andre eksterne omkostninger

Other external expenses

Andre eksterne omkostninger omfatter øvrige produktions-, salgs-, og administrations- omkostninger. 

Other external expenses include other production, sales and administrative costs. 

</g:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfExternalExpenses><g:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfFinanceIncomeAndExpenses contextRef="c40">Finansielle indtægter og omkostninger

Financial income and expenses



Finansielle indtægter og omkostninger indeholder renteindtægter og -omkostninger, realiserede og urealiserede kursgevinster samt tillæg og godtgørelse under acontoskatteordningen mv. Finansielle indtægter og omkostninger indregnes i resultatopgørelsen med de beløb, der vedrører regnskabsåret. Renteindtægter og -omkostninger beregnes på amortiserede kostpriser. 

Financial income and expenses include interest income and expenses, financial expenses of finance leases, realised and unrealised gains and losses arising from securities, debt and transactions in foreign currencies, as well as charges and allowances under the tax-on-account scheme, etc. Financial income and expenses are recognised by the amounts that relate to the financial year. Interest income and expenses are calculated on amortised cost prices. 

</g:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfFinanceIncomeAndExpenses><g:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxExpenses contextRef="c40">Skat af årets resultat

Tax



Årets skat, som består af årets aktuelle skat og forskydning 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. 

The tax for the year, which consists of the current tax for the year and changes in deferred tax, is recognised in the Income Statement by the share that may be attributed to the profit for the year, and is recognised directly in equity by the share that may be attributed to entries directly to equity. 

</g:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxExpenses><g:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfReceivables contextRef="c40">Tilgodehavender

Receivables



Tilgodehavender måles til amortiseret kostpris, hvilket sædvanligvis svarer til nominel værdi. Værdien reduceres med nedskrivning til imødegåelse af forventede tab. 

Receivables are measured at nominal value. The value is reduced by write-down to meet expected losses. 


Der foretages nedskrivning til imødegåelse af tab, hvor der vurderes at være indtruffet en objektiv indikation på, at et tilgodehavende eller en portefølje af tilgodehavender er værdiforringet. Hvis der foreligger en objektiv indikation på, at et individuelt tilgodehavende er værdiforringet, foretages nedskrivning på individuelt niveau. 

Write-off is performed to provide for losses when an objective indication has been assessed to have incurred that a receivable or a portfolio of receivables are impaired. If there is an objective indication that an individual receivable is impaired, the write-off is performed at individual level. 


Tilgodehavender, hvorpå der ikke foreligger en objektiv indikation på værdiforringelse på individuelt niveau, vurderes på porteføljeniveau for objektiv indikation for værdiforringelse. Porteføljerne baseres primært på debitorernes hjemsted og kreditvurdering i overensstemmelse med selskabets kreditrisikostyringspolitik. De objektive indikatorer, som anvendes for porteføljer, er fastsat baseret på historiske tabserfaringer. 

Receivables for which there are no objective indication of impairment at individual level are assessed at portfolio level for objective indication of impairment. The portfolios are primarily based on the debtors’ registered office and credit rating in accordance with the Company’s policy for credit risk management. The objective indicators, which are applied for portfolios, are determined based on the historical loss experiences. 


Nedskrivninger opgøres som forskellen mellem den regnskabsmæssige værdi af tilgodehavender og nutidsværdien af de forventede pengestrømme, herunder realisationsværdi af eventuelle modtagne sikkerhedsstillelser. Som diskonteringssats anvendes den effektive rente for det enkelte tilgodehavende eller portefølje. 

Write-off is determined as the difference between the carrying amount of receivables and the present value of the expected cash flows, including realisable value of any received collaterals. The effective interest rate is used as discount rate for the single receivable or portfolio. 

</g:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfReceivables><g:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxPayablesAndDeferredTax contextRef="c40">Skyldig skat og udskudt skat

Tax payable and deferred tax



Aktuelle skatteforpligtelser og tilgodehavende aktuel skat indregnes i balancen som beregnet skat af årets skattepligtige indkomst reguleret for skat af tidligere års skattepligtige indkomster samt for betalte acontoskatter. 

Current tax liabilities and receivable current tax are recognised in the Balance Sheet as the calculated tax on the taxable income for the year, adjusted for tax on the taxable income for previous years and taxes paid on account. 


Udskudt skat måles af midlertidige forskelle mellem regnskabsmæssig og skattemæssig værdi af aktiver og forpligtelser. 

Deferred tax is measured on the temporary differences between the carrying amount and the tax value of assets and liabilities. 


Udskudte skatteaktiver, herunder skatteværdien af fremførselsberettiget skattemæssigt underskud, måles til den værdi, hvortil aktivet forventes at blive anvendt inden for en overskuelig årrække, enten ved udligning i skat af fremtidig indtjening eller ved modregning i udskudte skatteforpligtelser inden for samme juridiske skatteenhed. 

Deferred tax assets, including the tax value of tax loss carryforwards, are measured at the amount at which the asset is expected to be used within a reasonable number of years, either by setoff against tax on future earnings or by setoff against deferred tax liabilities within the same legal tax entity. 


Udskudt skat måles på grundlag af de skatteregler og skattesatser, der med balancedagens lovgivning vil være gældende, når den udskudte skat forventes udløst som aktuel skat. Ændring i udskudt skat som følge af ændringer i skattesatser indregnes i resultatopgørelsen bortset fra poster, der føres direkte på egenkapitalen. 

Deferred tax is measured on the basis of the tax rules and tax rates that under the legislation in force on the Balance Sheet date will be applicable when the deferred tax is expected to crystallise as current tax. Any changes in the deferred tax resulting from changes in tax rates, are recognised in the income statement, except from items recognised directly in equity. 

</g:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfTaxPayablesAndDeferredTax><g:DescriptionOfMethodsOfRecognitionAndMeasurementBasisOfLiabilitiesOtherThanProvisions contextRef="c40">Gældsforpligtelser

Liabilities



Gældforpligtelser er opgjort til nettorealisationsværdi svarende til den værdi forpligtelserne forventes indfriet til. 

Liabilities are stated at the net realised value corresponding to the expected redemption value of the liabilities. 

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