MODUM BAD
Modum Bad - Vi fremmer psykisk helse og livskvalitet
Modum Bad tilbyr forskningsbasert behandling av psykiske lidelser, kurs og fagkurs innen samliv og helse samt kirke- og kulturopplevelser.
Keywords
inpatient facilitiesinpatient wardsadult psychiatric treatment
Organization
- CEO
- KL
- Chairman of the board
- KH
Kjetil Haga1967
- Years since formation
- 29 years
- since Feb 20, 1995
- Type
- Foundation
- VAT registered
- Yes
- Number of employees
- 322
Financials
- Total operating income 2023
- 321,767,000
- NOK
- Annual total result 2023
- 34,463,000
- NOK
Last update: Nov 21, 2024
Management
Management / administration
Name | Role | Shares |
---|---|---|
KL | Managing Director/CEO | - |
Board
Name | Role | Shares |
---|---|---|
PB | Board Member | - |
IE | Board Member | - |
EM | Deputy Chair | - |
TG 1973 | Board Member | - |
GW | Alternate Member | - |
KH 1967 | Chairman | - |
PB 1962 | Board Member | - |
HC | Board Member | - |
Board Member | - | |
LK | Alternate Member | - |
Others
Name | Role | Shares |
---|---|---|
Auditor | - |
Last update: Sep 10, 2024
Ownership
Shares owned by the MODUM BAD
Name | Share class | Number of shares | Share |
---|---|---|---|
Ordinary shares | 1,000 | 100 % | |
A-shares | 178 | 1.19 % | |
Ordinary shares | 648,147 | 0.65 % | |
NO0010893019 | 6,000 | 0.11 % |
Last update: May 24, 2024
Group structure
- Total operating income 2023: NOK 321,767,000Operating profit 2023: NOK 35,983,000Employees: 322
Financials
in NOK
Summary
Year | 2023 | 2022 | 2021 |
---|---|---|---|
Total operating income | 321,767,000 | 288,223,000 | 283,647,000 |
Annual Total Result | 34,463,000 | 499,000 | 8,557,000 |
Total assets | 0 | 268,986,000 | 262,686,000 |
Total liabilities | 0 | 103,039,000 | 96,036,000 |
Total equity | 0 | 165,948,000 | 166,650,000 |
P&L
Year | 2023 | 2022 | 2021 |
---|---|---|---|
Total operating income | 321,767,000 | 288,223,000 | 283,647,000 |
Total operating costs | 285,784,000 | 287,169,000 | 274,616,000 |
Operating result | 35,983,000 | 1,054,000 | 9,031,000 |
Financial income/costs | -1,520,000 | -555,000 | -474,000 |
Profit before tax | 34,463,000 | 499,000 | 8,557,000 |
Total tax & extraordinary income/cost | 0 | 0 | 0 |
Annual Total Result | 34,463,000 | 499,000 | 8,557,000 |
Balance overview
Year | 2023 | 2022 | 2021 |
---|---|---|---|
Total fixed assets | 0 | 195,211,000 | 174,889,000 |
Total current assets | 0 | 73,775,000 | 87,797,000 |
Total assets | 0 | 268,986,000 | 262,686,000 |
Short term debt | 0 | 49,220,000 | 50,496,000 |
Long term debt | 0 | 53,819,000 | 45,540,000 |
Total liabilities | 0 | 103,039,000 | 96,036,000 |
Contributed capital | 0 | 165,948,000 | 166,650,000 |
Retained earnings | 0 | 0 | 0 |
Total equity | 0 | 165,948,000 | 166,650,000 |
Total equity and liabilities | 0 | 268,987,000 | 262,686,000 |
Classification
Category
Type of organization
Foundation
Standard industrial classification
Q
Main industrial area
Human health and social work activities
86
Activity
Human health activities
86.1
Main industrial group
Hospital activities
86.10
Industrial group
Hospital activities
86.104
Industrial group
Mental health hospitals for adults