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Publishing of video games

RAW POWER GAMES APS NUF

Org. no. 931018922 Norwegian division of foreign business enterprise (NUF) Active
Ownership graph ↗
75
Credit score
Meget lav risiko
Operating margin
0.0%
Net margin
0.0%
Equity ratio
39.8%
Current ratio
7.70
Debt ratio
1.51
Audit
Audited

Analysis

  • Selskapet har en god egenkapitalandel på 39.8%.
  • Selskapet har god likviditet med likviditetsgrad 7.70.

Income statement

Periode: 2024-01-01 – 2024-12-31 · Alle tall i NOK

Total operating revenueNOK 0
Total operating costsNOK 94.5m
Operating profit (EBIT)NOK −94.5m
Net financial itemsNOK 410,000
Profit before taxNOK −94.1m
Profit for the yearNOK −87.0m

Balance sheet

Per 2024-12-31 · Alle tall i NOK

Assets

Non-current assetsNOK 27.1m
Current assetsNOK 35.5m
Total assetsNOK 62.6m

Equity and liabilities

Paid-in equityNOK 159.7m
Retained earningsNOK −134.8m
Total equityNOK 24.9m
Current liabilitiesNOK 4.6m
Non-current liabilitiesNOK 33.0m
Total equity and liabilitiesNOK 62.6m

Full financial statements

Reconciled against the register ↓ Download annual report (PDF)

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

EBITDA
NOK −93.1m
Depreciation
NOK 1.3m
Cash and bank deposits
NOK 19.9m

Income statement

2024Previous year
BruttotapNOK 65.1mNOK 20.8m
PersonaleomkostningerNOK 28.0mNOK 17.7m
Af- og nedskrivninger af materielle og immaterielle anlægsaktiverNOK 1.3mNOK 119,000
Sum kostnaderNOK 94.5mNOK 38.6m
DriftsresultatNOK −94.5mNOK −38.6m
Andre finansielle indtægterNOK 493,000NOK 97,000
Sum finansinntekterNOK 493,000NOK 97,000
Øvrige finansielle omkostningerNOK 83,000NOK 83,000
Sum finanskostnaderNOK 83,000NOK 83,000
Netto finansNOK 410,000NOK 14,000
Resultat før skattekostnadNOK −94.1mNOK −38.6m
SkattekostnadNOK −7.1mNOK −5.3m
ÅrsresultatNOK −87.0mNOK −33.4m
Overfores til øvrige lovpligtige reserverNOK 6.5mNOK 3.1m
Sum overføringer og disponeringerNOK −87.0mNOK −33.4m

Balance sheet

2024Previous year
Udekket tapNOK −93.5mNOK −36.4m
Udvikl.proj. u udf og forudbet 1immat. anl.aktNOK 13.0mNOK 4.7m
Utsatt skattefordelNOK 0NOK 2.3m
Sum immaterielle eiendelerNOK 13.0mNOK 7.0m
Andre anlæg driftsmateriel og inventarNOK 4.7mNOK 759,000
Indretning af lejede lokalerNOK 2.9mNOK 50,000
Sum varige driftsmidlerNOK 7.6mNOK 809,000
DepositaNOK 6.4mNOK 4.6m
Sum finansielle anleggsmidlerNOK 6.4mNOK 4.6m
Sum anleggsmidlerNOK 27.1mNOK 12.4m
Tilgodehavender hos tilknyttede virksomhederNOK 9.5mNOK 5.1m
Andre tilgodehavenderNOK 5.7mNOK 4.8m
PeriodeafgrensningspostexrNOK 347,000NOK 461,000
Sum fordringerNOK 15.5mNOK 10.4m
Andre verdipapirer og kapitalandeleNOK 100,000NOK 0
Sum investeringerNOK 100,000NOK 0
Likvide beholdningexNOK 19.9mNOK 3.5m
Sum bankinnskudd kontanter og lignendeNOK 19.9mNOK 3.5m
Sum omløpsmidlerNOK 35.5mNOK 13.8m
SUM EIENDELERNOK 62.6mNOK 26.2m
VirksomhedskapitalNOK 74,000NOK 74,000
OverkursNOK 159.7mNOK 69.0m
Sum innskutt egenkapitalNOK 159.7mNOK 69.1m
Øvrige lovpligtige reserverNOK 10.2mNOK 3.7m
Udekket tapNOK 145.0mNOK 51.5m
Sum opptjent egenkapitalNOK −134.8mNOK −47.8m
Sum egenkapitalNOK 24.9mNOK 21.2m
Ansvarlig lånekapitalNOK 33.0mNOK 0
Sum annen langsiktig gjeldNOK 33.0mNOK 0
Sum langsiktig gjeldNOK 33.0mNOK 0
Geld til pengeinstitutterNOK 2,000NOK 366
LeverandørgjeldNOK 2.3mNOK 1.4m
Geld til tilknyttede virksomhederNOK 634,000NOK 0
Anden geldNOK 1.6mNOK 3.6m
PeriodeafgrensningsposterNOK 0NOK 21,000
Sum kortsiktig gjeldNOK 4.6mNOK 5.0m
Sum gjeldNOK 37.7mNOK 5.0m
Sum egenkapital og gjeldNOK 62.6mNOK 26.2m

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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