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TROMSØ MASKIN OG UTEMILJØ AS913 552 903

Contractor activities
Limited company
Storgata 37 9008 TROMSØ, Norge

TROMSØ MASKIN OG UTEMILJØ AS

Operating
Arbeid innenfor utemiljøsegmentet, bl.a. mindre og større uteanleggsprosjekter, gravetjenester, masseforflytning, veibygging, brøyting, steinlegging, skogrydding, tømmerhogst, trearbeid, vaktmestertjenester, kjøp, salg og utleie av maskiner og utstyr, samt andre produkter/tjenester som naturlig hører sammen med dette. Videre kan selskapet delta i andre selskap med lignende virksomhet, drive med kjøp og salg av aksjer eller på annen måte gjøre seg interessert i andre foretak.

Keywords

preparationconstruction sitesexcavationdrainageditchescleaningblastingsortingplanningdriving awaydisposalmassingpreparatorydrainage work

Organization

Chairman of the board
Years since formation
12 years
since Apr 29, 2014
Type
Limited company
VAT registered
Yes
Number of employees
0

Ownership

Number of shares and share classes
1,730
1 share class
Total number of shareholders
1
company
Belongs to group of

Financials

Total operating income 2025
418,718
NOK
Annual total result 2025
-351,337
NOK
Total equity 2025
99,407
NOK
Last update: May 13, 2026

Management

Management / administration

NameRoleShares
Managing Director/CEO
100 %
indirectly

Board

NameRoleShares
Chairman
100 %
indirectly

Others

NameRoleShares
S
SNE REGNSKAP AS
Accountant-

Top 10 individual shareholders

NameRoleShares
Managing Director/CEO, Chairman
100 %
indirectly
Last update: Apr 13, 2023

Ownership

Company shareholders

NameShare classTotal number of sharesShare
P
PECO EIENDOM AS
Ordinary shares
1,730
100 %
Last update: Jun 2, 2025

Group structure

  • Total operating income 2025: NOK 0
    Operating profit 2025: NOK -16,299
    Employees: 0

Financials

in NOK

Summary

Year20252024202320222021
Total operating income
418,718
572,895
2,012,294
3,798,432
2,391,868
Annual Total Result
-351,337
-995,796
-269,957
1,446,496
-505,030
Total assets
908,186
920,801
1,512,279
1,933,228
1,239,212
Total liabilities
808,778
470,056
65,738
216,730
969,210
Total equity
99,407
450,745
1,446,541
1,716,498
270,002

P&L

Year20252024202320222021
Total operating income
418,718
572,895
2,012,294
3,798,432
2,391,868
Total operating costs
773,186
1,572,129
2,282,415
2,311,986
2,896,579
Operating result
-354,468
-999,234
-270,121
1,486,445
-504,711
Financial income/costs
3,131
3,437
165
-1,872
-319
Profit before tax
-351,337
-995,796
-269,957
1,484,573
-505,030
Total tax & extraordinary income/cost
0
0
0
38,077
0
Annual Total Result
-351,337
-995,796
-269,957
1,446,496
-505,030

Balance overview

Year20252024202320222021
Total fixed assets
488,775
762,986
828,595
816,399
604,111
Total current assets
419,410
157,815
683,684
1,116,829
635,101
Total assets
908,186
920,801
1,512,279
1,933,228
1,239,212
Short term debt
17,484
470,056
65,738
216,730
93,157
Long term debt
0
0
0
0
876,053
Total liabilities
808,778
470,056
65,738
216,730
969,210
Contributed capital
1,730,000
1,730,000
1,730,000
1,730,000
1,730,000
Retained earnings
-1,630,593
-1,279,255
-283,459
-13,502
-1,459,998
Total equity
99,407
450,745
1,446,541
1,716,498
270,002
Total equity and liabilities
908,186
920,801
1,512,279
1,933,228
1,239,212

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
43.1
Main industrial group
Demolition and site preparation
43.12
Industrial group
Site preparation
43.120
Industrial group
Site preparation