Org.nr 997 770 234 2022 → 2023 Year-over-year analysis

KAHOOT! AS: årsregnskap 2023 vs 2022

Grew 20% on revenue, stronger earnings, fresh owner capital

approved 2024-05-28; registry 2024-08-19; journal 2024 709619

Full company analysis · All year comparisons

What changed

Comparing Årsregnskap 2023 with 2022 for KAHOOT! AS. Revenue 71.51m NOK → 85.51m NOK (+19.6%). Net result +16.00m NOK → +23.30m NOK. Equity 674.4k NOK → 657.70m NOK.

On the constructive side: revenue rose; net result improved; equity strengthened. Pressures included: operating result weakened; cash fell; current ratio dropped below 1×.

Also worth watching: book investments changed. All figures are taken from the published annual accounts for KAHOOT! AS.

Scorecard

Revenue
71.51m NOK 85.51m NOK
+19.6%
Operating result
+24.70m NOK +7.11m NOK
-71.2%
Net result
+16.00m NOK +23.30m NOK
+45.6%
Equity
674.4k NOK 657.70m NOK
+97425.3%
Cash
73.15m NOK 72.46m NOK
-0.9%
Total assets
720.8k NOK 771.9k NOK
+7.1%

What improved

  • ↑

    Revenue rose

    Operating income / revenue moved from 71.51m NOK to 85.51m NOK (+19.6% YoY). Calculated

  • ↑

    Net result improved

    Net result +16.00m NOK → +23.30m NOK (net margin 22.4% → 27.2%). Calculated

  • ↑

    Equity strengthened

    Book equity 674.4k NOK → 657.70m NOK (equity ratio 93.6% → 85210.3%). Calculated

  • ↑

    Owners injected capital

    Paid-in equity rose 706.0k NOK → 672.96m NOK (+672.25m NOK). Reported fact

What deteriorated

  • ↓

    Operating result weakened

    Operating result +24.70m NOK → +7.11m NOK (op. margin 34.5% → 8.3%). Calculated

  • ↓

    Cash fell

    Bank deposits 73.15m NOK → 72.46m NOK (-0.9% YoY). Calculated

  • ↓

    Current ratio dropped below 1×

    Current ratio 1.68× → 0.72× — short-term liabilities now exceed liquid/current assets on the published lines. Calculated

Things to notice

  • ·

    Book investments changed

    Investment / intangible book value 639.0k NOK → 687.6k NOK. Reported fact