Org.nr 998 489 571 2024 → 2025 Year-over-year analysis

ACTIVETAINMENT AS: årsregnskap 2025 vs 2024

Returned to profit, cash halved-plus

approved 2026-07-31; registry 2026-08-03; journal 2026 745295

Full company analysis · All year comparisons

What changed

Comparing Årsregnskap 2025 with 2024 for ACTIVETAINMENT AS. Revenue 0 NOK → 0 NOK (0.0%). Net result -51.8k NOK → 0 NOK. Equity -344.0k NOK → -292.2k NOK.

On the constructive side: operating result improved; turned profitable; equity strengthened. Pressures included: cash fell.

Also worth watching: thin equity buffer. All figures are taken from the published annual accounts for ACTIVETAINMENT AS.

Scorecard

Revenue
0 NOK 0 NOK
0.0%
Operating result
-51.8k NOK 0 NOK
+100.0%
Net result
-51.8k NOK 0 NOK
+100.0%
Equity
-344.0k NOK -292.2k NOK
+15.1%
Cash
12.2k NOK 1 042 NOK
-91.4%
Total assets
12.2k NOK 1 042 NOK
-91.4%

What improved

  • ↑

    Operating result improved

    Operating result -51.8k NOK → 0 NOK. Calculated

  • ↑

    Turned profitable

    Net result flipped from a loss of 51.8k NOK to a profit of 0 NOK. Calculated

  • ↑

    Equity strengthened

    Book equity -344.0k NOK → -292.2k NOK (equity ratio -2830.3% → -28038.8%). Calculated

What deteriorated

  • ↓

    Cash fell

    Bank deposits 12.2k NOK → 1 042 NOK (-91.4% YoY). Calculated

Things to notice

  • ·

    Thin equity buffer

    Equity ratio is -28038.8% of assets — limited loss-absorbing capacity on a stand-alone basis. Interpretation