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BADE CONSULTING AS991 748 660

Craftsman services
Limited company
Ellelia 10 1444 DRØBAK, Norge

BADE CONSULTING AS

Operating
Konsulenttjenester. Investering i andre selskaper. Eiendomsinvesteringer. Finansielle investeringer. Kjøp og salg av utstyr/tjenester det faller naturlig for selskapet. Undervisning/kurs.
Gulvlegging, flislegging og tapetsering.

Keywords

layingadaptingsetting upwallsceramicsconcretenatural stonefloor tilesceramic stovesparquetcoatingsplastic laminatewall elementswall-to-wall carpetsfloor coveringslinoleumrubber plasticterrazzomarblegraniteslatethe wallpaper

Organization

Chairman of the board
Years since formation
19 years
since Sep 27, 2007
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
persons

Financials

Total operating income 2025
42,359
NOK
Annual total result 2025
-729
NOK
Total equity 2025
254,222
NOK
Last update: Jun 11, 2026

Management

Board

NameRoleShares
Chairman
80 %
directly
Board Member
20 %
directly
Alternate Member-

Top 10 individual shareholders

NameRoleShares
Chairman
80 %
directly
Board Member
20 %
directly
Last update: Apr 13, 2023

Ownership

Company shareholders

NameShare classTotal number of sharesShare
Ordinary shares
80
80 %
Ordinary shares
20
20 %

Shares owned by the BADE CONSULTING AS

NameShare classTotal number of sharesShare
C
CEMENTO AS
Under liquidation
Ordinary shares
3,000
10 %
H
HUNTER GROUP ASA
NO0012953720
2
< 0.01 %
Last update: Jun 2, 2025

Financials

in NOK

Summary

Year20252024202320222021
Total operating income
42,359
252,509
373,159
240,270
350,614
Annual Total Result
-729
49,338
-33,835
-142,752
-73,917
Total assets
264,111
296,260
598,471
546,165
461,284
Total liabilities
9,889
41,309
392,860
306,721
79,088
Total equity
254,222
254,951
205,612
239,445
382,197

P&L

Year20252024202320222021
Total operating income
42,359
252,509
373,159
240,270
350,614
Total operating costs
43,088
191,748
397,783
374,727
424,195
Operating result
-729
60,761
-24,624
-134,457
-73,581
Financial income/costs
0
-11,423
-9,211
-8,295
-336
Profit before tax
-729
49,338
-33,835
-142,752
-73,917
Total tax & extraordinary income/cost
0
0
0
0
0
Annual Total Result
-729
49,338
-33,835
-142,752
-73,917

Balance overview

Year20252024202320222021
Total fixed assets
100,798
100,798
317,274
389,432
225,340
Total current assets
163,313
195,462
281,197
156,733
235,944
Total assets
264,111
296,260
598,471
546,165
461,284
Short term debt
9,889
41,309
205,945
105,566
79,088
Long term debt
0
0
186,915
201,155
0
Total liabilities
9,889
41,309
392,860
306,721
79,088
Contributed capital
30,000
30,000
30,000
30,000
30,000
Retained earnings
224,222
224,951
175,612
209,445
352,197
Total equity
254,222
254,951
205,612
239,445
382,197
Total equity and liabilities
264,111
296,260
598,472
546,166
461,285

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
F
Main industrial area
Construction
43
Activity
Specialised construction activities
43.3
Main industrial group
Building completion and finishing
43.33
Industrial group
Floor and wall covering
43.330
Industrial group
Floor and wall covering