This website uses cookies to enhance the user experience.
||
BILDENDE KUNSTNERES HJELPEFOND

BILDENDE KUNSTNERES HJELPEFOND971 526 068

Public administration
Other body corporate
Brenneriveien 5 0182 OSLO, Norge

BILDENDE KUNSTNERES HJELPEFOND

Operating
Bildende Kunstneres Hjelpefond
Forvalte lov om avgift på omsetning av billedkunst m.m. (kunstavgiftsloven). Kunstavgift.

Keywords

healthcareteachingculturesportsleisureenvironmenthousingsocial servicesr&d policyfinancial supportleisure activitiescultural activitiespublic subsidiesdrinking water supplywaste managementenvironmental protection projectshousing projects

Links

Organization

Chairman of the board
Years since formation
31 years
since Feb 20, 1995
Type
Other body corporate
VAT registered
No
Number of employees
6

Financials

Total operating income 2025
57,294,303
NOK
Annual total result 2025
11,626,840
NOK
Total equity 2025
51,757,382
NOK
Last update: Jun 10, 2026

Management

Management / administration

NameRoleShares
Managing Director/CEO-

Board

NameRoleShares
Chairman-
MA
Board Member-
NE
Board Member-
Board Member-
Board Member-

Others

NameRoleShares
C
CEDRA NORGE AS
Auditor-
H
HASLESTAD REGNSKAP AS
Accountant-
Last update: May 2, 2026

Ownership

No available data

Financials

in NOK

Summary

Year20252024202320222020
Total operating income
57,294,303
50,173,211
44,028,095
45,841,046
36,522,067
Annual Total Result
11,626,840
4,039,376
-1,045,803
-5,044,309
3,873,552
Total assets
73,664,562
63,179,287
68,592,473
74,299,398
51,169,132
Total liabilities
21,907,180
23,048,745
32,501,307
37,162,429
13,144,000
Total equity
51,757,382
40,130,542
36,091,166
37,136,969
38,025,132

P&L

Year20252024202320222020
Total operating income
57,294,303
50,173,211
44,028,095
45,841,046
36,522,067
Total operating costs
47,070,212
47,425,558
45,897,972
51,623,079
32,830,629
Operating result
10,224,091
2,747,653
-1,869,877
-5,782,032
3,691,438
Financial income/costs
1,402,749
1,291,723
824,074
737,723
182,114
Profit before tax
11,626,840
4,039,376
-1,045,803
-5,044,309
3,873,552
Total tax & extraordinary income/cost
0
0
0
0
0
Annual Total Result
11,626,840
4,039,376
-1,045,803
-5,044,309
3,873,552

Balance overview

Year20252024202320222020
Total fixed assets
0
0
0
0
0
Total current assets
73,664,562
63,179,287
68,592,473
74,299,398
51,169,132
Total assets
73,664,562
63,179,287
68,592,473
74,299,398
51,169,132
Short term debt
10,530,180
2,658,745
2,191,974
2,258,429
2,501,000
Long term debt
0
20,390,000
30,309,333
34,904,000
10,643,000
Total liabilities
21,907,180
23,048,745
32,501,307
37,162,429
13,144,000
Contributed capital
0
0
0
0
0
Retained earnings
51,757,382
40,130,542
36,091,166
37,136,969
38,025,132
Total equity
51,757,382
40,130,542
36,091,166
37,136,969
38,025,132
Total equity and liabilities
73,664,562
63,179,287
68,592,473
74,299,398
51,169,132

Classification

21st company classification
BETA
Small company
Type of organization
Other body corporate
Standard industrial classification
O
Main industrial area
Public administration and defence; compulsory social security
84
Activity
Public administration and defence; compulsory social security
84.1
Main industrial group
Administration of the State and the economic and social policy of the community
84.12
Industrial group
Regulation of the activities of providing health care, education, cultural services and other social services, excluding social security
84.120
Industrial group
Regulation of the activities of providing health care, education, cultural services and other social services, excluding social security