AS · grundat 2017OsloModerbolag · 10 dotterbolaghette CB NORDIC RENEWABLE AND INFRASTRUCTURE FUND I AS →2020
Brreg · companies
personalserien visas efter två registerändringar
Roller från Brreg, visas endast för affärskontakt. Inget födelsedatum visas eller exporteras (ändamålsbegränsning, GDPR Art. 6(1)(f)).
Brreg · company_people
4 registrerade roller
| Daglig leder | Jon Gunnar Solli Flera styrelser | 2020-04-03 | |
| Styrets leder | Anders Jørgen Lenborg Flera styrelser | 2024-06-12 | |
| Styremedlem | Ingrid Aasen Bjørdal Flera styrelser | 2024-06-12 | |
| Styremedlem | Ole-Kristofer Storruste Bragnes Flera styrelser | 2024-06-12 |
NOK, belopp i tusental
| 2024 | 2025 | ||
|---|---|---|---|
| Summa rörelseintäkter | 7 483 | ||
| Rörelseresultat | −112 | ||
| Resultat före skatt | 135 244 | ||
| Årets resultat | 128 450 | ||
| Summa tillgångar | 4 960 373 | ||
| Summa eget kapital | 2 668 666 |
| 2020 | 2021 | 2022 | 2023 | 2024 | 2025 | ||
|---|---|---|---|---|---|---|---|
| Summa rörelseintäkter | 2 634 | 2 751 | 7 961 | 7 483 | |||
| Rörelseresultat | 60 | −900 | −11 375 | −112 | |||
| Resultat före skatt | −2 758 | 81 008 | 376 013 | 135 244 | |||
| Årets resultat | −2 758 | 70 290 | 367 382 | 128 450 | |||
| Summa tillgångar | 1 482 774 | 2 276 808 | 3 952 370 | 4 960 373 | |||
| Summa eget kapital | 1 055 854 | 1 088 144 | 2 546 772 | 2 668 666 |
Regnskapsregisteret · company_revenue · RÅ2024 (företag)
registerlogg · pengar
| 2026-08-06 | reg | accounts_filed: last_annual_accounts_year | 2024 -> 2025 |
| 2024 | 2025 | ||
|---|---|---|---|
| CLOUDBERRY CLEAN ENERGY ASA | 100 | 100 | — |
| 2020 | 2021 | 2022 | 2023 | 2024 | 2025 | ||
|---|---|---|---|---|---|---|---|
| CLOUDBERRY CLEAN ENERGY ASA | 100 | 100 | 100 | 100 | 100 | 100 | — |
Aksjonærregisteret · company_ownership · 2025 · båda riktningar
| 2024 | 2025 | 2026 | |
|---|---|---|---|
| revisor ERNST & YOUNG AS 2026-06-23 | ● | ||
| redovisningskonsult ECHAS REVISJON AS 2026-06-23 | ● |
| 2020 | 2021 | 2022 | 2023 | 2024 | 2025 | 2026 | |
|---|---|---|---|---|---|---|---|
| revisor ERNST & YOUNG AS 2026-06-23 | ● | ||||||
| redovisningskonsult ECHAS REVISJON AS 2026-06-23 | ● |
Brreg · company_org_roles
Inga registrerade anbudsvinster.
Relevanta öppna upphandlingar — matchade · NACE 35.121 ↔ CPVprenumeranter förfinar träffar med nyckelord per företag
matchning av öppna upphandlingar (NACE ↔ CPV) väntar på Intelligos vy för öppna upphandlingar
Doffin/TED · company_tender_wins · aktualitet okänd
Inga jobbannons registrerade de senaste 12 månaderna.
NAV Arbeidsplassen · company_job_ad_months
Koncernomsättning kr 73.1MKoncernresultat kr 131.5MVunna anbud 0Sammanräknat över moderbolaget + 10 dotterbolag — Åmotsfoss Kraft AS ensamt är kr 14.3M.
sammanräknad uppskattning · inlämnad konsernregnskap finns ännu inte i Intelligo
| Røyrmyra Vindpark AS | 100% | Production of electricity from wind power | kr 4.26M |
| Nessakraft AS | 100% | Production of electricity from hydropower | kr 11.1M |
| Ramsliåna Kraftverk AS | 100% | Production of electricity from hydropower | kr 2.39M |
| 100% | |||
| Åmotsfoss Kraft AS | 100% | Production of electricity from hydropower | kr 14.3M |
| Skåråna Kraft AS | 100% | Production of electricity from hydropower | kr 9.86M |
| Øvre Kvemma Kraftverk AS | 100% | Production of electricity from hydropower | kr 9.65M |
| Bøen Kraft AS | 100% | Production of electricity from hydropower | kr 10.3M |
| Tinnkraft AS | 100% | Production of electricity from hydropower | kr 3.76M |
| 100% | |||
| 100% | |||
| Selselva Kraft AS | 100% | ||
| Re Energi AS | 100% | ||
| Forte Energy Norway AS | 50.0% | ||
| Odal Vind AS | 33.4% | ||
| Fossum Sol 1 AS | 33.3% | ||
| Odal Vindkraftverk AS | 15% |
Aksjonærregisteret · company_ownership · 2025 · båda riktningar
FY2024revision: Inga reservationerErnst & Young AS0 årsarbetskraftersignerad: Anders Jorgen Lenborg, Ingrid Aasen Bjordal, Ole-Kristofer Storruste Bragnes, Jon Gunnar Solli
Regnskapsregisteret (årsberetning) · company_annual_reports
12 noteringar från förvaltningsberättelsen
| Audit opinion | Ernst & Young AS issued an unmodified audit opinion stating the accounts give a true and fair view as of 31 December 2024. | “girarsregnskapet et rettvisende bilde av selskapets finansielle stilling per 31. desember 2024 og” |
| Staff numbers | The company had no man-years employed and no payroll costs in 2024. | “Selskapet har ikke sysselsatt noen arsverk eller hatt lonnskostnader i 2024.” |
| Remuneration | The note on payroll costs and remuneration to the general manager and the board reports no such costs. | “Note1Lpnnskostnader ogytelser,godtgjorelser til dagligleder og styret” |
| Ownership | The company is wholly owned by Cloudberry Clean Energy AS and consolidated into Cloudberry Clean Energy ASA, whose group accounts are publicly available. | “Selskapet erkonsolidert inni Cloudberry Clean Energy ASA.Konsernregnskapet kan hentes pa” |
| Share capital | Share capital consists of 810 000 ordinary shares of nominal NOK 800, total NOK 648 000 000. | “Ordinaere aksjer 810 000 800,0 648 000 000” |
| Pledge or guarantee | The group has loans totalling MNOK 1 626 and all group companies have pledged their power plants, shares and receivables as security. | “Konsernet har lan pa tilsammen MNOK 1 626.Alle konsernselskapene har stillet sine kraftverk, aksjer og” |
| Pledge or guarantee | Restricted bank deposits of NOK 413 206 serve as security for a guarantee for a supplier to an associated company. | “Bundne midler pa bank-konto stillest som sikkerhet for garanti for leverandor til et tilknyttet selskap er pa” |
| Related party | The group companies participate in a group cash pool where parent Cloudberry Clean Energy ASA is the main account holder and all participants are jointly liable. | “Selskapeneikonsernet erdeltakereien konsernkontoordning hvormorselskapet Cloudberry Clean Energy” |
| Related party | No repayment schedule has been agreed for the long-term receivables from group companies. | “Pa de langsiktige fordringer til konsernselskap er det ikke avtalt noen nedbetalingstid.” |
| Related party | Group contribution of NOK 24 088 547 was given and NOK 17 532 188 received during 2024, recognised directly in equity. | “Konsernbidrag avgitt -24 088 547 -24 088 547” |
| Deferred tax | Deferred tax at 22 % is nil in both years. | “Utsatt skatt (22 %) 0 0” |
| Subsidiary | Note 2 lists the subsidiaries, associates and jointly controlled entities with carrying value totalling NOK 2 571 005 131. | “Boen Kraft AS Oslo 100,0% 101 658 713 2311 410 1 248 087” |
registrerad 2017-10-28jgs@cloudberry.no · 970 38 507
Brreg · companies
registerlogg · 30 händelser
| 2026-08-06 | reg | accounts_filed: last_annual_accounts_year | 2024 -> 2025 |
| 2024-12-31 | rapport | Audit opinion | Ernst & Young AS issued an unmodified audit opinion stating the accounts give a true and fair view as of 31 December 2024. — girarsregnsk... |
| 2024-12-31 | rapport | Staff numbers | The company had no man-years employed and no payroll costs in 2024. — Selskapet har ikke sysselsatt noen arsverk eller hatt lonnskostnade... |
| 2024-12-31 | rapport | Remuneration | The note on payroll costs and remuneration to the general manager and the board reports no such costs. — Note1Lpnnskostnader ogytelser,go... |
| 2024-12-31 | rapport | Ownership | The company is wholly owned by Cloudberry Clean Energy AS and consolidated into Cloudberry Clean Energy ASA, whose group accounts are pub... |
| 2024-12-31 | rapport | Share capital | Share capital consists of 810 000 ordinary shares of nominal NOK 800, total NOK 648 000 000. — Ordinaere aksjer 810 000 800,0 648 000 000 |
| 2024-12-31 | rapport | Pledge or guarantee | The group has loans totalling MNOK 1 626 and all group companies have pledged their power plants, shares and receivables as security. — K... |
| 2024-12-31 | rapport | Pledge or guarantee | Restricted bank deposits of NOK 413 206 serve as security for a guarantee for a supplier to an associated company. — Bundne midler pa ban... |
| 2024-12-31 | rapport | Related party | The group companies participate in a group cash pool where parent Cloudberry Clean Energy ASA is the main account holder and all particip... |
| 2024-12-31 | rapport | Related party | No repayment schedule has been agreed for the long-term receivables from group companies. — Pa de langsiktige fordringer til konsernselsk... |
| 2024-12-31 | rapport | Related party | Group contribution of NOK 24 088 547 was given and NOK 17 532 188 received during 2024, recognised directly in equity. — Konsernbidrag av... |
| 2024-12-31 | rapport | Deferred tax | Deferred tax at 22 % is nil in both years. — Utsatt skatt (22 %) 0 0 |
| 2024-12-31 | rapport | Subsidiary | Note 2 lists the subsidiaries, associates and jointly controlled entities with carrying value totalling NOK 2 571 005 131. — Boen Kraft A... |
| 2023-12-31 | rapport | Audit opinion | Ernst & Young AS issued an audit report on the 2023 financial statements with an unmodified conclusion. — Viharrevidert arsregnskapet for... |
| 2023-12-31 | rapport | Audit opinion | The audit report is signed in Oslo on 19 March 2024 by state authorised auditor Trond Stian Nytveit for Ernst & Young AS. — Oslo, 19.mars... |
| 2023-12-31 | rapport | Staff numbers | The company had no man-years employed and no payroll costs in 2023. — Selskapet har ikke sysselsatt noen arsverk eller hatt lonnskostnade... |
| 2023-12-31 | rapport | Remuneration | The note on payroll and remuneration to the CEO and board shows no wage costs for the year. — Note1Lpnnskostnader ogytelser,godtgjorelser... |
| 2023-12-31 | rapport | Ownership | The company is wholly owned within and consolidated into Cloudberry Clean Energy ASA. — Selskapet er konsolidert inni Cloudberry Clean En... |
| 2023-12-31 | rapport | Share capital | Share capital consists of 810 000 ordinary shares of NOK 800 each, totalling NOK 648 000 000. — Ordinaere aksjer 810 000 800,0 648 000... |
| 2023-12-31 | rapport | Share capital | A share issue in 2023 added NOK 486 000 000 of share capital and NOK 635 850 000 of share premium, NOK 1 121 850 000 in total. — Emisjon ... |
| 2023-12-31 | rapport | Related party | Group contribution of NOK 30 602 951 was allocated for 2023 (NOK 38 000 207 in 2022). — Avgitt konsernbidrag 30 602 951 38 000 207 |
| 2023-12-31 | rapport | Related party | Group companies participate in a group cash pool where parent Cloudberry Clean Energy ASA is main account holder, with joint and several ... |
| 2023-12-31 | rapport | Related party | No repayment schedule has been agreed for the long-term receivables from group companies. — Pa de langsiktige fordringer til konsernselsk... |
| 2023-12-31 | rapport | Pledge or guarantee | The group has total loans of MNOK 1 252 and all group companies have pledged their power plants, shares and outstanding receivables as se... |
| 2023-12-31 | rapport | Pledge or guarantee | Restricted bank deposits of NOK 395 642 are pledged as security for a guarantee for a supplier to an associated company. — Bundne midler ... |
| 2023-12-31 | rapport | Loan or financing | Long-term debt to credit institutions grew to NOK 1 251 862 013 from NOK 327 608 528. — Gjeld til kredittinstitusjoner 5,7 1 251 862 01... |
| 2023-12-31 | rapport | Subsidiary | The company holds 100 % of Bjorgelva Kraft AS, one of many power-production subsidiaries listed in note 2. — Bjorgelva Kraft AS Oslo 10... |
| 2023-12-31 | rapport | Impairment | Shares in subsidiaries are carried at cost unless write-down has been necessary, and write-downs have been made. — anskaffelseskost for a... |
| 2023-12-31 | rapport | Deferred tax | Tax expense comprises both current tax payable and change in deferred tax; deferred tax at 22 % is nil. — Skattekostnaden iresultatregnsk... |
| 2023-12-31 | rapport | Other | The accounts are prepared under the Accounting Act and NRS 8 for small entities. — Arsregnskapet er satt opp i samsvar med regnskapsloven... |
Skiwo · company_events