company

KREATIVMALER AS

1266 OSLO

Return on Equity
92,96 %
Current Ratio
1,46
Debt-to-Equity Ratio
0,02
Key figures (NOK)2022
Revenue1 937 000
Net Income317 000
Total Assets705 000
Total Equity341 000
Income (NOK)2022
Revenue1 937 000
Expenditure1 529 000
Operating Profit408 000
Financial Income0
Financial Costs1 000
Financial Balance−1 000
Earnings Before Tax406 000
Tax89 000
Net Income317 000
Balance (NOK)2022
Total Fixed Assets183 000
Total Current Assets522 000
Total Assets705 000
Total Retained Equity317 000
Total Equity341 000
Total Long-Term Debt7 000
Total Current Debt357 000
Total Equity and Debt705 000
Cash flow (NOK)2022
Sales Income1 937 000
Other Income0
Revenue1 937 000
Cost of Goods Sold178 000
Salary Costs1 133 000
Depreciation12 000
Impairment0
Expenditure1 529 000
Operating Profit408 000
Financial Income0
Financial Costs1 000
Financial Balance−1 000
Dividends0
Net Income317 000
Balance details (NOK)2022
Goodwill0
Total Intangible Assets0
Real Eastate0
Machinery and Plant Facilities0
Fixtures183 000
Total Tangible Assets183 000
Total Fiancial Fixed Assets0
Total Fixed Assets183 000
Stock0
Total Investments0
Cash, Bank463 000
Total Current Assets522 000
Total Assets705 000
Total Equity341 000
Short-Term Group Debt0
Total Long-Term Debt7 000
Creditors3 000
Unpaid Taxes179 000
Dividends0
Other Current Debt92 000
Total Current Debt357 000
Total Equity and Debt705 000
Financial indicators2022
Return on Equity92,96 %
Debt-to-Equity Ratio0,02
Operating Profit Margin21,06 %
Current Ratio1,46
Quick Ratio1,46
Equity Ratio0,48
Gross Profit Margin90,81 %
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