This website uses cookies to enhance the user experience.
I

IDÉHUS TRONDHEIM AS885 832 202

Contractor activities
Limited company
Vegamot 8B 7049 TRONDHEIM, Norge

IDÉHUS TRONDHEIM AS

Keywords

constructionresidential buildingssingle-family homesapartment buildingsapartment blocksfactoriesworkshopshospitalsschoolsoffice buildingshotelsshopsshopping centersrestaurantsairport buildingssports hallsparking garageswarehouseschurchesprefabricated buildingsremodelingrepairmaintenance

Links

Organization

Chairman of the board
PB
Years since formation
22 years
since Jul 14, 2003
Type
Limited company
VAT registered
Yes
Number of employees
0

Ownership

Number of shares and share classes
100
1 share class
Total number of shareholders
2
1 company, 1 person
Belongs to group of

Financials

Total operating income 2023
8,827,771
NOK
Annual total result 2023
792,278
NOK
Total equity 2023
13,461,651
NOK
Last update: Aug 29, 2024

Management

Management / administration

NameRoleShares
Managing Director/CEO-

Board

NameRoleShares
PB
Chairman
79 %
indirectly
Board Member-

Others

NameRoleShares
O
ORKLA REVISJON AS
Auditor-

Top 10 individual shareholders

NameRoleShares
PB
Chairman
79 %
indirectly
-
21 %
directly
Last update: Nov 13, 2024

Ownership

Company shareholders

NameShare classNumber of sharesShare
B
BY RÅD AS
Ordinary shares
79
79 %
Ordinary shares
21
21 %

Shares owned by the IDÉHUS TRONDHEIM AS

NameShare classNumber of sharesShare
Ordinary shares
100
100 %
Last update: May 24, 2024

Group structure

  • Total operating income 2023: NOK 2,210,241
    Operating profit 2023: NOK 2,077,904
    Employees: 0

Financials

in NOK

Summary

Year202320222021
Total operating income
8,827,771
33,024,659
9,510,154
Annual Total Result
792,278
1,682,528
-3,028,901
Total assets
25,471,650
23,500,668
35,621,708
Total liabilities
12,009,999
12,031,295
11,834,863
Total equity
13,461,651
11,469,373
23,786,845

P&L

Year202320222021
Total operating income
8,827,771
33,024,659
9,510,154
Total operating costs
8,029,189
32,363,585
12,856,928
Operating result
798,582
661,074
-3,346,774
Financial income/costs
555,621
1,482,820
-283,741
Profit before tax
1,354,203
2,143,895
-3,630,515
Total tax & extraordinary income/cost
561,925
461,367
-601,614
Annual Total Result
792,278
1,682,528
-3,028,901

Balance overview

Year202320222021
Total fixed assets
2,916,814
3,457,372
3,974,739
Total current assets
22,554,836
20,043,296
31,646,969
Total assets
25,471,650
23,500,668
35,621,708
Short term debt
12,009,999
12,031,295
9,895,009
Long term debt
0
0
1,939,854
Total liabilities
12,009,999
12,031,295
11,834,863
Contributed capital
100,000
100,000
100,000
Retained earnings
13,361,651
11,369,373
23,686,845
Total equity
13,461,651
11,469,373
23,786,845
Total equity and liabilities
25,471,650
23,500,668
35,621,708

Classification

Type of organization
Limited company
Classification of institutional sector
INNL
Domestic sectors
A_IKKE-FIN
Non-financial corporations
2100
Private non-financial incorporated enterprises
Standard industrial classification
F
Main industrial area
Construction
41
Activity
Construction of buildings
41.2
Main industrial group
Construction of residential and non-residential buildings
41.20
Industrial group
Construction of residential and non-residential buildings
41.200
Industrial group
Construction of residential and non-residential buildings