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MAGISK POTET AS986 279 458

Limited company
Hasselbakkvegen 14 7060 CHARLOTTENLUND, Norge

MAGISK POTET AS

Operating
Gi råd, investere i og støtte andre selskaper. Dette inkluderer strategiutvikling, rådgivning, prosjektgjennomføring, kapitalforvaltning og relaterte konsulenttjenester, med mål om å fremme vekst og effektivitet i alle våre engasjementer.
Bedriftsrådgiving og annen administrativ rådgiving.

Links

Organization

Chairman of the board
Years since formation
22 years
since Jan 7, 2004
Type
Limited company
VAT registered
No
Number of employees
0

Ownership

Number of shares and share classes
1,000,000
1 share class
Total number of shareholders
1
person
Belongs to group of

Financials

Annual total result 2025
32,162,404
NOK
Total equity 2025
34,640,550
NOK
Last update: Jun 20, 2026

Management

Management / administration

NameRoleShares
Managing Director/CEO
100 %
directly

Board

NameRoleShares
Chairman
100 %
directly

Others

NameRoleShares
H
HOPE REKNESKAPSKONTOR AS
Accountant-

Top 10 individual shareholders

NameRoleShares
Chairman, Managing Director/CEO
100 %
directly
Last update: Sep 2, 2024

Ownership

Company shareholders

NameShare classTotal number of sharesShare
Ordinary shares
1,000,000
100 %

Shares owned by the MAGISK POTET AS

NameShare classTotal number of sharesShare
9
99X INCREO AS
Ordinary shares
180,000
90 %
N
NORDIC SEMICONDUCTOR ASA
NO0003055501
25,849
< 0.01 %
Last update: Jun 2, 2025

Group structure

  • Total operating income 2025: NOK 0
    Operating profit 2025: NOK -3,516,232
    Employees: 0

Financials

in NOK

Summary

Year20252024202320222021
Total operating income
0
0
0
0
0
Annual Total Result
32,162,404
-119,425
-4,536
-182,377
566,851
Total assets
39,365,757
2,647,930
4,419,389
4,430,133
4,605,242
Total liabilities
4,725,207
169,785
121,819
128,026
111,458
Total equity
34,640,550
2,478,146
4,297,570
4,302,107
4,493,784

P&L

Year20252024202320222021
Total operating income
0
0
0
0
0
Total operating costs
3,516,232
138,867
9,058
58,847
12,618
Operating result
-3,516,232
-138,867
-9,058
-58,847
-12,618
Financial income/costs
35,678,636
19,442
4,522
-123,531
579,468
Profit before tax
32,162,404
-119,425
-4,536
-182,377
566,851
Total tax & extraordinary income/cost
0
0
0
0
0
Annual Total Result
32,162,404
-119,425
-4,536
-182,377
566,851

Balance overview

Year20252024202320222021
Total fixed assets
24,956,201
989,000
989,000
989,000
989,000
Total current assets
14,409,556
1,658,930
3,430,389
3,441,133
3,616,242
Total assets
39,365,757
2,647,930
4,419,389
4,430,133
4,605,242
Short term debt
3,345,207
69,785
121,819
128,026
111,458
Long term debt
0
100,000
0
0
0
Total liabilities
4,725,207
169,785
121,819
128,026
111,458
Contributed capital
100,000
100,000
1,800,000
1,800,000
1,800,000
Retained earnings
34,540,550
2,378,146
2,497,570
2,502,107
2,693,784
Total equity
34,640,550
2,478,146
4,297,570
4,302,107
4,493,784
Total equity and liabilities
39,365,757
2,647,930
4,419,389
4,430,133
4,605,242

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