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STIFTELSEN MODUM BAD

STIFTELSEN MODUM BAD970 107 592

Hospital and doctors
Foundation
Badeveien 287 3370 VIKERSUND, Norge

STIFTELSEN MODUM BAD

Operating
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.
Stiftelsens formål er gjennom behandling, forebygging, sjelesorg, forskning og fagutvikling å fremme psykisk helse og livskvalitet.

Keywords

specialsomaticdiseasescancerlung diseasesrheumatism

Organization

CEO
Chairman of the board
Years since formation
31 years
since Feb 20, 1995
Type
Foundation
VAT registered
Yes
Number of employees
324

Financials

Total operating income 2025
344,660,000
NOK
Annual total result 2025
40,750,000
NOK
Last update: Aug 12, 2026

Management

Management / administration

NameRoleShares
Managing Director/CEO-

Board

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

Others

NameRoleShares
C
CEDRA NORGE BOREALIS AS
Auditor-
Last update: Jun 24, 2026

Ownership

Shares owned by the STIFTELSEN MODUM BAD

NameShare classTotal number of sharesShare
M
MODUM BAD GÅRDSDRIFT AS
Ordinary shares
1,000
100 %
K
KNIF TRYGGHET FORSIKRING AS
A-shares
178
1.19 %
K
KNIF AS
Ordinary shares
648,147
0.65 %
M
MENTOR MEDIER AS
NO0010893019
6,000
0.11 %
Last update: Jun 2, 2025

Group structure

  • Total operating income 2025: NOK 344,660,000
    Operating profit 2025: NOK 42,083,000
    Employees: 324

Financials

in NOK

Summary

Year20252024202320222021
Total operating income
344,660,000
338,816,000
321,767,000
288,223,000
283,647,000
Annual Total Result
40,750,000
48,876,000
34,463,000
499,000
8,557,000
Total assets
0
364,020,000
0
268,986,000
262,686,000
Total liabilities
0
120,698,000
0
103,039,000
96,036,000
Total equity
0
243,322,000
0
165,948,000
166,650,000

P&L

Year20252024202320222021
Total operating income
344,660,000
338,816,000
321,767,000
288,223,000
283,647,000
Total operating costs
302,577,000
288,673,000
285,784,000
287,169,000
274,616,000
Operating result
42,083,000
50,143,000
35,983,000
1,054,000
9,031,000
Financial income/costs
-1,333,000
-1,267,000
-1,520,000
-555,000
-474,000
Profit before tax
40,750,000
48,876,000
34,463,000
499,000
8,557,000
Total tax & extraordinary income/cost
0
0
0
0
0
Annual Total Result
40,750,000
48,876,000
34,463,000
499,000
8,557,000

Balance overview

Year20252024202320222021
Total fixed assets
0
275,031,000
0
195,211,000
174,889,000
Total current assets
0
88,989,000
0
73,775,000
87,797,000
Total assets
0
364,020,000
0
268,986,000
262,686,000
Short term debt
0
53,829,000
0
49,220,000
50,496,000
Long term debt
0
66,869,000
0
53,819,000
45,540,000
Total liabilities
0
120,698,000
0
103,039,000
96,036,000
Contributed capital
0
1,500,000
0
165,948,000
166,650,000
Retained earnings
0
241,822,000
0
0
0
Total equity
0
243,322,000
0
165,948,000
166,650,000
Total equity and liabilities
0
364,020,000
0
268,987,000
262,686,000

Classification

21st company classification
BETA
Industrial large enterprise
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
86.102
Industrial group
Specialised hospitals