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PETROPLAY AS818 904 312

Counseling
Limited company
Sørsjøvegen 8 4052 RØYNEBERG, Norge

PETROPLAY AS

Operating
Drive konsulentvirksomhet. Daglig leder, og eventuelt flere personer etterhvert, vil bli leid ut til virksomhet innen olje- og gassbransjen. I tillegg vil selskapet bli brukt som et investeringsselskap for eierne, hvor det vil bli investert i ulike verdipapirer og aksjer.

Keywords

engineering servicespowerenergytransportwatersewagedrainageindustrymanufacturingtelecommunicationsbroadcastingpolicy analysisregulationsexpert opinionswitness statementsmechanical engineeringautomotive engineeringchemical engineeringtechnical consulting

Organization

Chairman of the board
Years since formation
9 years
since Apr 25, 2017
Type
Limited company
VAT registered
Yes
Number of employees
0

Ownership

Number of shares and share classes
1,000
1 share class
Total number of shareholders
1
person

Financials

Total operating income 2025
1,587,658
NOK
Annual total result 2025
666,390
NOK
Total equity 2025
696,438
NOK
Last update: Jun 4, 2026

Management

Management / administration

NameRoleShares
Managing Director/CEO
100 %
directly

Board

NameRoleShares
Chairman
100 %
directly

Others

NameRoleShares
Accountant-

Top 10 individual shareholders

NameRoleShares
Managing Director/CEO, Chairman
100 %
directly
Last update: Apr 13, 2023

Ownership

Company shareholders

NameShare classTotal number of sharesShare
Ordinary shares
1,000
100 %

Shares owned by the PETROPLAY AS

NameShare classTotal number of sharesShare
S
SPS2029 AS
Ordinary shares
25
25 %
T
TORSION TOOL COMPANY AS
Ordinary shares
10,000
3.3 %
W
WELLCONNECTION GROUP AS
Ordinary shares
100,000
0.07 %
Last update: Jun 2, 2025

Financials

in NOK

Summary

Year20252024202320222021
Total operating income
1,587,658
0
0
0
75,000
Annual Total Result
666,390
-10,425
-7,455
-15,808
63,556
Total assets
994,102
1,030,548
1,027,473
1,023,928
1,073,993
Total liabilities
297,665
734,500
721,000
710,000
744,257
Total equity
696,438
296,048
306,473
313,928
329,736

P&L

Year20252024202320222021
Total operating income
1,587,658
0
0
0
75,000
Total operating costs
211,956
10,425
7,500
15,799
7,186
Operating result
1,375,702
-10,425
-7,500
-15,799
67,814
Financial income/costs
-414,077
0
45
-9
0
Profit before tax
961,625
-10,425
-7,455
-15,808
67,814
Total tax & extraordinary income/cost
295,235
0
0
0
4,258
Annual Total Result
666,390
-10,425
-7,455
-15,808
63,556

Balance overview

Year20252024202320222021
Total fixed assets
670,900
1,029,977
1,022,477
1,022,477
995,900
Total current assets
323,202
571
4,996
1,451
78,093
Total assets
994,102
1,030,548
1,027,473
1,023,928
1,073,993
Short term debt
297,665
0
0
0
4,257
Long term debt
0
0
0
0
0
Total liabilities
297,665
734,500
721,000
710,000
744,257
Contributed capital
30,000
30,000
30,000
30,000
30,000
Retained earnings
666,438
266,048
276,473
283,928
299,736
Total equity
696,438
296,048
306,473
313,928
329,736
Total equity and liabilities
994,102
1,030,548
1,027,473
1,023,928
1,073,993

Classification

21st company classification
BETA
Small company
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
M
Main industrial area
Professional, scientific and technical activities
71
Activity
Architectural and engineering activities; technical testing and analysis
71.1
Main industrial group
Architectural and engineering activities and related technical consultancy
71.12
Industrial group
Engineering activities and related technical consultancy
71.129
Industrial group
Other technical consultancy