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VARDØ BASECAMP AS925 077 658

Attractions
Limited company
Kristian 4 gate 30 9950 VARDØ, Norge

VARDØ BASECAMP AS

Operating
Drive innenfor turisme med informasjonsarbeid til besøkende til kommunen, salg av opplevelser og guiding, drift av caravanovernatting, samt salg av suvenirer og artikler til besøkende. I tillegg driver selskapet innenfor kunstarbeid med produksjon av glasskunst og maleri. Selskapet skal også produsere og selge film og reklame.
Drive innenfor turisme med informasjonsarbeid til besøkende, salg av opplevelser og guiding, drift av caravanovernatting, samt salg av suvenirer besøkende. I tillegg produserer og selger selskapet egen glasskunst.

Keywords

organisationsalesraftingrock climbingsleigh ridesdog sleddingbeaver safaris

Organization

Chairman of the board
Years since formation
6 years
since May 15, 2020
Type
Limited company
VAT registered
Yes
Number of employees
0

Ownership

Number of shares and share classes
100
1 share class
Total number of shareholders
1
person

Financials

Total operating income 2025
264,650
NOK
Annual total result 2025
30,382
NOK
Total equity 2025
-32,783
NOK
Last update: Jun 30, 2026

Management

Management / administration

NameRoleShares
Managing Director/CEO
100 %
directly

Board

NameRoleShares
Chairman
100 %
directly

Others

NameRoleShares
B
BEDRIFTSPARTNER VARDØ AS
Accountant-

Top 10 individual shareholders

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

Ownership

Company shareholders

NameShare classTotal number of sharesShare
Ordinary shares
100
100 %
Last update: Jun 2, 2025

Financials

in NOK

Summary

Year2025202420232022
Total operating income
264,650
89,200
354,850
331,150
Annual Total Result
30,382
-68,494
-14,100
548
Total assets
750,451
174,822
799,317
600,740
Total liabilities
783,235
237,988
793,989
581,312
Total equity
-32,783
-63,165
-5,790
19,429

P&L

Year2025202420232022
Total operating income
264,650
89,200
354,850
331,150
Total operating costs
233,995
157,694
368,950
330,602
Operating result
30,655
-68,494
-14,100
548
Financial income/costs
-273
0
0
0
Profit before tax
30,382
-68,494
-14,100
548
Total tax & extraordinary income/cost
0
0
0
0
Annual Total Result
30,382
-68,494
-14,100
548

Balance overview

Year2025202420232022
Total fixed assets
379,213
0
13,124
17,498
Total current assets
371,238
174,822
786,193
583,242
Total assets
750,451
174,822
799,317
600,740
Short term debt
783,235
237,988
793,989
581,312
Long term debt
0
0
0
0
Total liabilities
783,235
237,988
793,989
581,312
Contributed capital
30,000
30,000
30,000
30,000
Retained earnings
-62,783
-93,165
-35,790
-10,571
Total equity
-32,783
-63,165
-5,790
19,429
Total equity and liabilities
750,452
174,823
788,199
600,741

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
R
Main industrial area
Arts, entertainment and recreation
93
Activity
Sports activities and amusement and recreation activities
93.2
Main industrial group
Amusement and recreation activities
93.29
Industrial group
Other amusement and recreation activities
93.291
Industrial group
Activities of adventure companies