
HARALD HARDRÅDESGATE 23-25 AS
0170 OSLO
Return on Equity
4,09 %
Current Ratio
1,84
Debt-to-Equity Ratio
0,44
Key figures (NOK) | 2022 |
---|---|
Revenue | 2 339 000 |
Net Income | 625 000 |
Total Assets | 22 899 000 |
Total Equity | 15 275 000 |
Income (NOK) | 2022 |
---|---|
Revenue | 2 339 000 |
Expenditure | 1 298 000 |
Operating Profit | 1 041 000 |
Financial Income | 1 000 |
Financial Costs | 240 000 |
Financial Balance | −239 000 |
Earnings Before Tax | 802 000 |
Tax | 176 000 |
Net Income | 625 000 |
Balance (NOK) | 2022 |
---|---|
Total Fixed Assets | 21 270 000 |
Total Current Assets | 1 629 000 |
Total Assets | 22 899 000 |
Total Retained Equity | 15 215 000 |
Total Equity | 15 275 000 |
Total Long-Term Debt | 6 740 000 |
Total Current Debt | 883 000 |
Total Equity and Debt | 22 899 000 |
Cash flow (NOK) | 2022 |
---|---|
Sales Income | 2 308 000 |
Other Income | 31 000 |
Revenue | 2 339 000 |
Cost of Goods Sold | 0 |
Salary Costs | 0 |
Depreciation | 0 |
Impairment | 0 |
Expenditure | 1 298 000 |
Operating Profit | 1 041 000 |
Financial Income | 1 000 |
Financial Costs | 240 000 |
Financial Balance | −239 000 |
Dividends | 0 |
Net Income | 625 000 |
Balance details (NOK) | 2022 |
---|---|
Goodwill | 0 |
Total Intangible Assets | 0 |
Real Eastate | 21 270 000 |
Machinery and Plant Facilities | 0 |
Fixtures | 0 |
Total Tangible Assets | 21 270 000 |
Total Fiancial Fixed Assets | 0 |
Total Fixed Assets | 21 270 000 |
Stock | 0 |
Total Investments | 0 |
Cash, Bank | 1 587 000 |
Total Current Assets | 1 629 000 |
Total Assets | 22 899 000 |
Total Equity | 15 275 000 |
Short-Term Group Debt | 802 000 |
Total Long-Term Debt | 6 740 000 |
Creditors | 82 000 |
Unpaid Taxes | 0 |
Dividends | 0 |
Other Current Debt | 0 |
Total Current Debt | 883 000 |
Total Equity and Debt | 22 899 000 |
Financial indicators | 2022 |
---|---|
Return on Equity | 4,09 % |
Debt-to-Equity Ratio | 0,44 |
Operating Profit Margin | 44,51 % |
Current Ratio | 1,84 |
Quick Ratio | 1,84 |
Equity Ratio | 0,67 |
Gross Profit Margin | 100 % |
