BIZTRAC BETA
Production of electricity from wind power

SOURCE GALILEO NORGE AS

Org. no. 925992704 Limited company (AS) Haugesund Incorporated 2020 Active
Ownership graph ↗
Revenue 2025 NOK 32.5m
Operating profit NOK 4.1m
Equity NOK 960,000
Incorporated 2020
Share capital NOK 30,000

Financials

2025
Total operating revenue
32,5 mill
2025
Operating profit (EBIT)
4,1 mill
2025

Income statement

Post2025Trend
Total operating revenue 32.5m
Total operating costs 28.4m
Operating profit (EBIT) 4.1m
Net financial items −4.7m
Profit for the year −544k

Balance sheet

Post2025Trend
Total assets 9.1m
of which current assets 8.3m
Equity 960k
Total liabilities 8.2m

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 1.9m

Income statement

2025Previous year
kRevenueNOK 32.5mNOK 48.2m
Sum inntekterNOK 32.5mNOK 48.2m
Raw materials and consumables usedNOK 3.6mNOK 24.5m
Staff costsNOK 17.7mNOK 9.8m
Depreciation of fixed assets and intangible assetsNOK 138,000NOK 132,000
Other operating expensesNOK 6.9mNOK 11.6m
Sum kostnaderNOK 28.4mNOK 46.0m
DriftsresultatNOK 4.1mNOK 2.2m
Annen renteinntektNOK 676NOK 2,000
Other financial incomeNOK 3,000NOK 607,000
Sum finansinntekterNOK 3,000NOK 609,000
Rentekostnad til foretak i samme konsernNOK 3.4mNOK 1.2m
Annen rentekostnadNOK 83,000NOK 5,000
Other financial expenseNOK 1.2mNOK 35,000
Sum finanskostnaderNOK 4.7mNOK 1.2m
Netto finansNOK −4.7mNOK −588,000
Resultat før skattekostnadNOK −554,000NOK 1.6m
Tax on resultNOK −10,000NOK 364,000
ÅrsresultatNOK −544,000NOK 1.3m
Transfers to/from other equityNOK 1.3m
Sum overføringer og disponeringerNOK −544,000NOK 1.3m
Utskriftedato 01.12.2025NOK 926.0m

Balance sheet

2025Previous year
Sum immaterielle eliendelerNOK 0NOK 0
Fixtures and fittings tools, office machinery etcNOK 357,000NOK 495,000
Sum varige driftsmidlerNOK 357,000NOK 495,000
Lån til foretak i samme konsernNOK 533,000NOK 29.3m
Sum finansielle anleggsmidlerNOK 533,000NOK 29.3m
Sum anleggsmidlerNOK 890,000NOK 29.8m
Accounts receivableNOK 0NOK 41,000
Other short-term receivablesNOK 6.3mNOK 2.3m
KonsernfordringerNOK 0NOK 0
Sum fordringerNOK 6.3mNOK 2.3m
Sum investeringerNOK 0NOK 0
Bank deposits, cash in hand, etcNOK 1.9mNOK 2.5m
Sum bankinnskudd kontanter og lignendeNOK 1.9mNOK 2.5m
Sum omløpsmidlerNOK 8.3mNOK 4.9m
SUM EIENDELERNOK 9.1mNOK 34.7m
Share capitalNOK 30,000NOK 30,000
Sum innskutt egenkapitalNOK 30,000NOK 30,000
Other equityNOK 930,000NOK 1.5m
Udekket tapNOK 0NOK 0
Sum opptjent egenkapitalNOK 930,000NOK 1.5m
Sum egenkapitalNOK 960,000NOK 1.5m
Utsatt skattNOK 0NOK 11,000
Sum avsetninger for forpliktelserNOK 0NOK 11,000
Langsiktig konserngjeldNOK 0NOK 25.5m
Sum annen langsiktig gjeldNOK 0NOK 25.5m
Sum langsiktig gjeldNOK 0NOK 25.5m
LeverandørgjeldNOK 524,000NOK 570,000
Tax pavableNOK 0NOK 417,000
Public duties pavableNOK 550,000NOK 596,000
Kortsiktig konsexrngjeldNOK 368,000NOK 0
Other short-term liabilitiesNOK 6.7mNOK 6.1m
Sum kortsiktig gjeldNOK 8.2mNOK 7.7m
Sum gjeldNOK 8.2mNOK 33.2m
Sum egenkapital og gjeldNOK 9.1mNOK 34.7m
Utskriftedato 01.12.2025NOK 926.0m

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

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