BIZTRAC BETA
Publishing of video games

SAREPTA STUDIO AS

Org. no. 996092070 Limited company (AS) Hamar Incorporated 2010 Active
Ownership graph ↗
Revenue 2024 NOK 6.8m
Operating profit NOK 492,000
Equity NOK −1.1m
Incorporated 2010
Employees 12
Share capital NOK 145,000

Financials

2024
Total operating revenue
6,8 mill
2024
Operating profit (EBIT)
492k
2024

Income statement

Post2024Trend
Total operating revenue 6.8m
Total operating costs 6.3m
Operating profit (EBIT) 492k
Net financial items −80k
Profit for the year 412k

Balance sheet

Post2024Trend
Total assets 5.7m
of which current assets 1.7m
Equity −1.1m
Total liabilities 6.8m

Full financial statements

Reconciled against the register ↓ Download annual report (PDF)

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

EBITDA
NOK 908,000
Depreciation
NOK 416,000
Cash and bank deposits
NOK 589,000

Income statement

2024Previous year
Annen driftsinntektNOK 4.5mNOK 4.6m
Sum inntekterNOK 6.8mNOK 7.2m
LønnskostnadNOK 4.7mNOK 6.6m
Avskrivning på varige driftsmidler og immaterielle elendelerNOK 416,000NOK 101,000
Annen driftskostnadNOK 1.2mNOK 4.0m
Sum kostnaderNOK 6.3mNOK 10.7m
DriftsresultatNOK 492,000NOK −3.4m
Annen renteinntektNOK 3,000NOK 14,000
Annen finansinntektNOK 24,000NOK 5,000
Sum finansinntekterNOK 27,000NOK 19,000
Annen rentekostnadNOK 87,000NOK 50,000
Annen finanskostnadNOK 20,000NOK 28,000
Sum finanskostnaderNOK 107,000NOK 78,000
Netto finansNOK −80,000NOK −59,000
Resultat før skattekostnadNOK 412,000NOK −3.5m
SkattekostnadNOK 0NOK 0
ÅrsresultatNOK 412,000NOK −3.5m
Sum overføringer og disponeringerNOK 412,000NOK −3.5m

Balance sheet

2024Previous year
Udekket tapNOK 412,000NOK −1.7m
Annen egenkapitalNOK 0NOK −1.8m
UtviklingNOK 4.0mNOK 4.4m
Konsesjoner, patenter lisenser, varemerker ol.NOK 0NOK 0
Sum immaterielle eliendelerNOK 4.0mNOK 4.4m
Driftsløsøre, inventar verktøy, kontormaskiner ol.NOK 22,000NOK 75,000
Sum varige driftsmidlerNOK 22,000NOK 75,000
Investeringer i aksjer og andelerNOK 0NOK 3,000
Sum finansielle anleggsmidlerNOK 0NOK 3,000
Sum anleggsmidlerNOK 4.0mNOK 4.4m
KundefordringerNOK 197,000NOK 407,000
Andre kortsiktige fordringerNOK 934,000NOK 506,000
Sum fordringerNOK 1.1mNOK 913,000
Sum investeringerNOK 0NOK 0
Bankinnskudd, kontanter og lignendeNOK 589,000NOK 37,000
Sum bankinnskudd, kontanter og lignendeNOK 589,000NOK 37,000
Sum omløpsmidlerNOK 1.7mNOK 950,000
SUM EIENDELERNOK 5.7mNOK 5.4m
AksjekapitalNOK 145,000NOK 145,000
Beholdning av egne aksjerNOK −4,000NOK −4,000
Sum innskutt egenkapitalNOK 142,000NOK 142,000
Annen egenkapitalNOK 0NOK 0
Udekket tapNOK 1.2mNOK 1.7m
Sum opptjent egenkapitalNOK −1.2mNOK −1.7m
Sum egenkapitalNOK −1.1mNOK −1.5m
Sum avsetninger for forpliktelserNOK 0NOK 0
Sum annen langsiktig gjeldNOK 0NOK 0
Sum langsiktig gjeldNOK 0NOK 0
Gjeld til kredittinstitusjonerNOK 0NOK 633,000
LeverandørgjeldNOK 13,000NOK 1.6m
Skyldige offentlige avgifterNOK 226,000NOK 346,000
Annen kortsiktig gjeldNOK 6.6mNOK 4.3m
Sum kortsiktig gjeldNOK 6.8mNOK 6.9m
Sum gjeldNOK 6.8mNOK 6.9m
Sum egenkapital og gjeldNOK 5.7mNOK 5.4m

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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