BIZTRAC BETA
Activities of psychologists and psychotherapists, except medical doctors

PSYKOLOGSPESIALIST TRUDE STOKKAN AS

Org. no. 918510036 Limited company (AS) Trondheim Incorporated 2017 Active
Ownership graph ↗
Revenue 2025 NOK 1.8m
Operating profit NOK 241,000
Equity NOK 443,000
Incorporated 2017
Share capital NOK 30,000
90
Credit score
Meget lav risiko
Operating margin
13.6%
Net margin
10.6%
Equity ratio
48.1%
Current ratio
1.93
Debt ratio
1.08
Audit
Not audited

Analysis

  • Selskapet har en god egenkapitalandel på 48.1%.
  • Selskapet har god likviditet med likviditetsgrad 1.93.
  • Sterk driftsmargin på 13.6%.
  • Selskapet har ingen langsiktig gjeld.

Income statement

Periode: 2025-01-01 – 2025-12-31 · Alle tall i NOK

Total operating revenueNOK 1.8m
Total operating costsNOK 1.5m
Operating profit (EBIT)NOK 241,000
Net financial itemsNOK −205
Profit before taxNOK 241,000
Profit for the yearNOK 188,000

Balance sheet

Per 2025-12-31 · Alle tall i NOK

Assets

Non-current assetsNOK 0
Current assetsNOK 921,000
Total assetsNOK 921,000

Equity and liabilities

Paid-in equityNOK 40,000
Retained earningsNOK 403,000
Total equityNOK 443,000
Current liabilitiesNOK 478,000
Non-current liabilitiesNOK 0
Total equity and liabilitiesNOK 921,000

Full financial statements

Reconciled against the register ↓ Download annual report (PDF)

Financial year 2025 · NOK · read automatically from the filed annual report

Cash and bank deposits
NOK 863,000

Income statement

2025Previous year
Sum inntekterNOK 1.8mNOK 1.7m
LønnskostnadNOK 1.3mNOK 1.3m
Annen driftskostnadNOK 242,000NOK 255,000
Sum kostnaderNOK 1.5mNOK 1.5m
DriftsresultatNOK 241,000NOK 179,000
Annen renteinntektNOK 138NOK 260
Sum finansinntekterNOK 138NOK 260
Annen rentekostnadNOK 343NOK 243
Sum finanskostnaderNOK 343NOK 243
Netto finansNOK −205NOK 17
Resultat før skattekostnadNOK 241,000NOK 179,000
SkattekostnadNOK 53,000NOK 40,000
ÅrsresultatNOK 188,000NOK 139,000
Ordinært utbytteNOK 200,000NOK 0
Overføringer til/fra annen egenkapitalNOK −12,000NOK 139,000
Sum overføringer og disponeringerNOK 188,000NOK 139,000

Balance sheet

2025Previous year
Sum anleggsmidler KundefordringerNOK 58,000NOK −2,000
Sum fordringerNOK 58,000NOK −2,000
Bankinnskudd, kontanter og lignendeNOK 863,000NOK 718,000
Sum bankinnskudd kontanter og lignendeNOK 863,000NOK 718,000
Sum omløpsmidlerNOK 921,000NOK 716,000
SUM EIENDELERNOK 921,000NOK 716,000
SelskapskapitalNOK 30,000NOK 30,000
OverkursNOK 10,000NOK 10,000
Sum innskutt egenkapitalNOK 40,000NOK 40,000
Annen egenkapitalNOK 403,000NOK 415,000
Sum opptjent egenkapitalNOK 403,000NOK 415,000
Sum egenkapitalNOK 443,000NOK 455,000
LeverandørgjeldNOK 364NOK 0
Betalbar skattNOK 53,000NOK 40,000
Skyldige offentlige avgifterNOK 99,000NOK 106,000
UtbytteNOK 200,000
Annen kortsiktig gjeldNOK 126,000NOK 115,000
Sum kortsiktig gjeldNOK 478,000NOK 261,000
Sum gjeldNOK 478,000NOK 261,000
Sum egenkapital og gjeldNOK 921,000NOK 716,000

The figures are read automatically from the filed annual report and may contain errors. Control figures are reconciled against the Register of Company Accounts.

Source: the Brønnøysund registers / the Register of Company Accounts. Credit score calculated by Biztrac.

Source: Biztrac.no · Data from the Brønnøysund Register Centre and the Norwegian Tax Administration · Last updated 15.06.2026.

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