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BADELANDENE SA987 469 471

Sports
Co-operative
Olav Kyrres gate 6A 0273 OSLO, Norge

BADELANDENE SA

Operating
Bidra til utvikling av medlemmenes drift gjennom innkjøpsordninger, markedsføring, utveksling av erfaringer og kreative innspill for aktiviteter og bedre driftskonsepter, bidra til økt kompetanse og felles forståelse av sikkerhet i norske bade- og svømmeanlegg. Foretaket har ikke erverv til formål. Medlemmene forplikter seg til å være lojale mot de samarbeidsavtaler de inngår i gjennom Badelandene.no SA. Foretaket er eid og drevet av de deltakende medlemmene, i henhold til vedtektene og til de retningslinjer for drift som årsmøtet fatter.
Innkjøp, markedsføring og kompetanseutvikling innen bade- og svømmeanlegg.

Keywords

operationindooroutdoorsports facilitiesfootball stadiumshockey stadiumscricket stadiumsrugby stadiumstrackscardoghorse racingswimming poolsstadiumsathletics stadiumswinter sports facilitiesice hockey rinksboxing arenasgolf coursesbowling alleys

Links

Organization

Chairman of the board
Years since formation
21 years
since Jun 18, 2005
Type
Co-operative
VAT registered
Yes
Number of employees
0

Financials

Total operating income 2025
1,627,500
NOK
Annual total result 2025
-170,131
NOK
Total equity 2025
857,266
NOK
Last update: Jul 10, 2026

Management

Management / administration

NameRoleShares
Managing Director/CEO-

Board

NameRoleShares
Chairman-
Board Member-
Board Member-
Board Member-
Board Member-

Others

NameRoleShares
C
CENTER REVISJON AS
Auditor-
Accountant-
Last update: Jul 10, 2026

Ownership

No available data

Financials

in NOK

Summary

Year20252024202320222021
Total operating income
1,627,500
1,832,550
1,704,000
1,679,949
885,754
Annual Total Result
-170,131
-230,876
222,332
-281,200
105,583
Total assets
900,190
1,385,234
1,338,830
1,142,608
1,404,944
Total liabilities
42,924
357,837
80,557
106,667
87,804
Total equity
857,266
1,027,397
1,258,273
1,035,941
1,317,141

P&L

Year20252024202320222021
Total operating income
1,627,500
1,832,550
1,704,000
1,679,949
885,754
Total operating costs
1,809,328
2,088,540
1,485,857
1,959,057
778,323
Operating result
-181,828
-255,990
218,143
-279,108
107,431
Financial income/costs
14,246
28,175
7,945
480
116
Profit before tax
-167,582
-227,815
226,088
-278,629
107,547
Total tax & extraordinary income/cost
2,549
3,061
3,756
2,571
1,964
Annual Total Result
-170,131
-230,876
222,332
-281,200
105,583

Balance overview

Year20252024202320222021
Total fixed assets
0
0
0
0
0
Total current assets
900,190
1,385,234
1,338,830
1,142,608
1,404,944
Total assets
900,190
1,385,234
1,338,830
1,142,608
1,404,944
Short term debt
42,924
357,837
80,557
106,667
87,804
Long term debt
0
0
0
0
0
Total liabilities
42,924
357,837
80,557
106,667
87,804
Contributed capital
650,000
650,000
650,000
650,000
650,000
Retained earnings
207,266
377,397
608,273
385,941
667,141
Total equity
857,266
1,027,397
1,258,273
1,035,941
1,317,141
Total equity and liabilities
900,190
1,385,234
1,338,830
1,142,608
1,404,944

Classification

21st company classification
BETA
Small company
Type of organization
Co-operative
Standard industrial classification
R
Main industrial area
Arts, entertainment and recreation
93
Activity
Sports activities and amusement and recreation activities
93.1
Main industrial group
Sports activities
93.11
Industrial group
Operation of sports facilities
93.110
Industrial group
Operation of sports facilities