Org.nr 986 618 937 2024 → 2025 Year-over-year analysis

ACTIV AS: årsregnskap 2025 vs 2024

Cash halved-plus

approved 2026-05-15; registry 2026-05-18; journal 2026 448420

Full company analysis · All year comparisons

What changed

Comparing Årsregnskap 2025 with 2024 for ACTIV AS. Net result -8 440 NOK → -7 752 NOK. Equity 4.90m NOK → 4.93m NOK.

On the constructive side: operating result improved; equity strengthened; owners injected capital. Pressures included: cash fell.

Net constructive year on the published lines.

Scorecard

Operating result
-8 440 NOK -7 752 NOK
+8.2%
Net result
-8 440 NOK -7 752 NOK
+8.2%
Equity
4.90m NOK 4.93m NOK
+0.5%
Cash
10.6k NOK 2 812 NOK
-73.4%
Total assets
4.90m NOK 4.93m NOK
+0.5%

What improved

  • ↑

    Operating result improved

    Operating result -8 440 NOK → -7 752 NOK. Calculated

  • ↑

    Equity strengthened

    Book equity 4.90m NOK → 4.93m NOK (equity ratio 100.0% → 100.0%). Calculated

  • ↑

    Owners injected capital

    Paid-in equity rose 3.98m NOK → 4.01m NOK (+30.5k NOK). Reported fact

What deteriorated

  • ↓

    Cash fell

    Bank deposits 10.6k NOK → 2 812 NOK (-73.4% YoY). Calculated