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Sports and recreation education

FEELGOOD RANDABERG AS

Org. no. 927870126 Limited company (AS) Randaberg Incorporated 2021 Active
Ownership graph ↗
Revenue 2024 NOK 657,000
Operating profit NOK 68,000
Equity NOK −200,000
Incorporated 2021
Share capital NOK 30,000

Financials

2024
Total operating revenue
657k
2024
Operating profit (EBIT)
68k
2024

Income statement

Post2024Trend
Total operating revenue 657k
Total operating costs 589k
Operating profit (EBIT) 68k
Net financial items −147k
Profit for the year −78k

Balance sheet

Post2024Trend
Total assets 1.6m
of which current assets 26k
Equity −200k
Total liabilities 1.8m

Full financial statements

Reconciled against the register ↓ Download annual report (PDF)

Financial year 2024 · NOK · read automatically from the filed annual report

EBITDA
NOK 202,000
Depreciation
NOK 134,000
Cash and bank deposits
NOK 22,000

Income statement

2024Previous year
LønnskostnadNOK 118,000NOK 143,000
Avskrivning av driftsmidler og immaterielle eiendelerNOK 134,000NOK 134,000
Annen driftskostnadNOK 336,000NOK 304,000
Sum kostnaderNOK 589,000NOK 582,000
DriftsresultatNOK 68,000NOK 154,000
Annen rentekostnadNOK 147,000NOK 139,000
Sum finanskostnaderNOK 147,000NOK 139,000
Netto finansNOK −147,000NOK −139,000
Resultat før skattekostnadNOK 78,000NOK 878
ÅrsresultatNOK −78,000NOK 15,000
Årsresultat etter minoritetsinteresserNOK −78,000NOK 15,000
TotalresultatNOK 78,000NOK 878
Sum overføringer og disponeringerNOK −78,000NOK 15,000
Sum driftsinntekterNOK 657,000NOK 735,000
Sum driftskostnaderNOK 589,000NOK 582,000
Resultat av finansposterNOK −147,000NOK −139,000
Resultat før skattekostnadNOK −78,000NOK 15,000
ResultatNOK −78,000NOK 15,000
Overført til udekket tapNOK 78,000NOK −15,000
Sum overføringerNOK −78,000NOK 15,000
FEELGOOD RANDABERG ASNOK 2

Balance sheet

2024Previous year
Udekket tapNOK −78,000NOK 878
Driftsløsøre, inventar o. a. utstyrNOK 1.6mNOK 697,000
Sum varige driftsmidlerNOK 1.6mNOK 1.7m
Andre langsiktige fordringerNOK 56,000NOK 56,000
Sum finansielle anleggsmidlerNOK 56,000NOK 56,000
Sum anleggsmidlerNOK 1.6mNOK 1.8m
KundefordringerNOK 3,000
Andre kortsiktige fordringerNOK 999NOK 6,000
Sum fordringerNOK 4,000NOK 6,000
Sum bankinnskudd kontanter og lignendeNOK 22,000NOK 12,000
Sum omløpsmidlerNOK 26,000NOK 17,000
SUM EIENDELERNOK 1.6mNOK 1.8m
AksjekapitalNOK 30,000NOK 30,000
Annen innskutt egenkapitalNOK −6,000NOK −6,000
Sum innskutt egenkapitalNOK 24,000NOK 24,000
Udekket tapNOK 224,000NOK 146,000
Sum opptjent egenkapitalNOK −224,000NOK −146,000
Sum egenkapitalNOK −200,000NOK −122,000
Gjeld til kredittinstitusjonerNOK 1.6mNOK 1.7m
Sum annen langsiktig gjeldNOK 1.6mNOK 1.7m
Sum langsiktig gjeldNOK 1.6mNOK 1.7m
LeverandørgjeldNOK 69,000NOK 67,000
Skyldig offentlige avgifterNOK 8,000NOK 5,000
Annen kortsiktig gjeldNOK 158,000NOK 168,000
Sum kortsiktig gjeldNOK 234,000NOK 240,000
Sum gjeldNOK 1.8mNOK 1.9m
SUM EGENKAPITAL OG GJELDNOK 1.6mNOK 1.8m
Utskriftedato 19.07.2025NOK 927.9m

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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