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Graphic design and visual communication activities

FOTOPHONO AS

Org. no. 997352262 Limited company (AS) Oslo Incorporated 2011 Active
Ownership graph ↗
Revenue 2024 NOK 46.6m
Operating profit NOK −3.6m
Equity NOK 6.6m
Incorporated 2011
Employees 14
Share capital NOK 152,000
72
Credit score
Lav risiko
Operating margin
0.9%
Net margin
0.8%
Equity ratio
35.6%
Current ratio
1.54
Debt ratio
1.81
Audit
Audited

Analysis

  • Selskapet har en god egenkapitalandel på 35.6%.
  • Selskapet har god likviditet med likviditetsgrad 1.54.
  • Selskapet har ingen langsiktig gjeld.

Income statement

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

Total operating revenueNOK 82.7m
Total operating costsNOK 82.0m
Operating profit (EBIT)NOK 734,000
Net financial itemsNOK −103,000
Profit before taxNOK 632,000
Profit for the yearNOK 632,000

Balance sheet

Per 2025-12-31 · Alle tall i NOK

Assets

Non-current assetsNOK 270,000
Current assetsNOK 25.3m
Total assetsNOK 25.6m

Equity and liabilities

Paid-in equityNOK 2.7m
Retained earningsNOK 6.4m
Total equityNOK 9.1m
Current liabilitiesNOK 16.5m
Non-current liabilitiesNOK 0
Total equity and liabilitiesNOK 25.6m

Full financial statements

Reconciled against the register ↓ Download annual report (PDF)

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

EBITDA
NOK 974,000
Depreciation
NOK 240,000
Cash and bank deposits
NOK 6.8m

Income statement

2025Previous year
Annen driftsinntektNOK 740,000NOK 387,000
Sum inntekterNOK 82.7mNOK 46.6m
VarekostnadNOK 50.9mNOK 26.2m
LønnskostnadNOK 18.9mNOK 14.8m
Avskrivning av driftsmidler og immaterielle eiendelerNOK 240,000NOK 137,000
Annen driftskostnadNOK 12.0mNOK 9.1m
Sum kostnaderNOK 82.0mNOK 50.3m
DriftsresultatNOK 734,000NOK −3.6m
Annen renteinntektNOK 7,000NOK 10,000
Annen finansinntektNOK 58,000NOK 13,000
Verdiskning markedsbaserte omløpsmidlerNOK 11,000
Sum finansinntekterNOK 76,000NOK 23,000
Annen rentekostnadNOK 98,000NOK 62,000
Annen finanskostnadNOK 81,000NOK 33,000
Sum finanskostnaderNOK 179,000NOK 45,000
Netto finansNOK −103,000NOK −72,000
Resultat før skattekostnadNOK 632,000NOK −3.7m
ÅrsresultatNOK 632,000NOK −3.7m
Årsresultat etter minoritetsinteresserNOK 632,000NOK −3.7m
TotalresultatNOK 632,000NOK −3.7m
Sum overføringer og disponeringerNOK 632,000NOK −3.7m

Balance sheet

2025Previous year
Avsatt til annen egenkapitalNOK 632,000
Overført fra annen egenkapitalNOK −3.7m
Maskiner og anleggNOK 20,000NOK 47,000
Driftsløsøre, inventar o. a. utstyrNOK 250,000NOK 241,000
Sum varige driftsmidlerNOK 270,000NOK 288,000
Sum anleggsmidlerNOK 270,000NOK 288,000
Sum varerNOK 1.6mNOK 1.2m
KundefordringerNOK 14.4mNOK 13.7m
Andre kortsiktige fordringerNOK 2.4mNOK 503,000
Sum fordringerNOK 16.9mNOK 14.2m
Markedsbaserte aksjerNOK 46,000
Sum investeringerNOK 46,000
Sum bankinnskudd kontanter og lignendeNOK 6.8mNOK 5.1m
Sum omløpsmidlerNOK 25.3mNOK 20.4m
SUM EIENDELERNOK 25.6mNOK 20.7m
AksjekapitalNOK 152,000NOK 100,000
OverkursNOK 2.6mNOK 400,000
Sum innskutt egenkapitalNOK 2.7mNOK 500,000
Annen egenkapitalNOK 6.4mNOK 6.1m
Sum opptjent egenkapitalNOK 6.4mNOK 6.1m
Sum egenkapitalNOK 9.1mNOK 6.6m
LeverandørgjeldNOK 11.5mNOK 10.7m
Skyldig offentlige avgifterNOK 2.7mNOK 2.1m
Annen kortsiktig gjeldNOK 2.3mNOK 1.3m
Sum kortsiktig gjeldNOK 16.5mNOK 14.1m
Sum gjeldNOK 16.5mNOK 14.1m
SUM EGENKAPITAL OG GJELDNOK 25.6mNOK 20.7m

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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