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STIFTELSEN NORSK REVYFAGLIG SENTER

STIFTELSEN NORSK REVYFAGLIG SENTER961 080 835

Art
Foundation
Gartlandsvegen 12 7877 HØYLANDET, Norge

STIFTELSEN NORSK REVYFAGLIG SENTER

Norsk Revy | Alt innen revy | Vi gjør Norge morsommere | revy.no
Hos Norsk Revy finner du informasjon om Norsk revyfaglig senter, Norsk Revyfestival, NM i revy, Humorportalen og Instruktørkatalogen. Her får du oversikt over revygrupper, instruktører, og revyfestivaler, samt tips når du skal lage revy, kurs og kompetanse innen revy og videoer fra revyforestillinger.

Keywords

servicesperforming artstheater performancesconcertsoperasdance

Links

Organization

Chairman of the board
Years since formation
29 years
since Feb 20, 1995
Type
Foundation
VAT registered
No
Number of employees
7

Financials

Total operating income 2023
5,206,860
NOK
Annual total result 2023
317,063
NOK
Total equity 2023
4,107,099
NOK
Last update: Aug 29, 2024

Management

Management / administration

NameRoleShares
Managing Director/CEO-

Board

NameRoleShares
Board Member-
Chairman-
Board Member-
Board Member-
Alternate Member-
Deputy Chair-
Board Member-
Board Member-
Alternate Member-

Others

NameRoleShares
B
BDO AS
Auditor-
B
BAKKAN REGNSKAP AS
Accountant-
Last update: Oct 17, 2024

Ownership

Shares owned by the STIFTELSEN NORSK REVYFAGLIG SENTER

NameShare classNumber of sharesShare
N
NORWAY FRINGE FESTIVAL AS
Ordinary shares
1
25 %
Last update: Apr 4, 2024

Financials

in NOK

Summary

Year202320222021
Total operating income
5,206,860
4,507,630
5,188,819
Annual Total Result
317,063
505,625
1,354,546
Total assets
5,558,473
4,310,539
4,003,720
Total liabilities
1,451,374
520,503
719,310
Total equity
4,107,099
3,790,036
3,284,410

P&L

Year202320222021
Total operating income
5,206,860
4,507,630
5,188,819
Total operating costs
5,100,989
4,090,569
3,849,293
Operating result
105,871
417,061
1,339,526
Financial income/costs
211,192
88,564
15,020
Profit before tax
317,063
505,625
1,354,546
Total tax & extraordinary income/cost
0
0
0
Annual Total Result
317,063
505,625
1,354,546

Balance overview

Year202320222021
Total fixed assets
465,442
516,468
571,647
Total current assets
5,093,031
3,794,071
3,432,073
Total assets
5,558,473
4,310,539
4,003,720
Short term debt
1,451,374
520,503
719,310
Long term debt
0
0
0
Total liabilities
1,451,374
520,503
719,310
Contributed capital
514,000
514,000
514,000
Retained earnings
3,593,099
3,276,036
2,770,410
Total equity
4,107,099
3,790,036
3,284,410
Total equity and liabilities
5,558,473
4,310,539
4,003,720

Classification

Type of organization
Foundation
Standard industrial classification
R
Main industrial area
Arts, entertainment and recreation
90
Activity
Creative, arts and entertainment activities
90.0
Main industrial group
Creative, arts and entertainment activities
90.02
Industrial group
Support activities to performing arts
90.020
Industrial group
Support activities to performing arts