đžđȘ Adway AB
Organization Number: 559126-9286
Company Information
Address
Masthamnsgatan 21, 413 29 Göteborg
Employees
28
Phone Number
Allabolag: 031-711 55 88
Ratsit: 031-7115588
Ratsit: +468-43758837
Ratsit: +4670-7822608
Ratsit: +468-263412
Ratsit: +4670-7156164
Ratsit: +4676-3107815
Ratsit: 036-340085
Ratsit: 036-711931
Financial Information
Detailed financial data for recent years
Salaries & Dividends
Shows salary costs and dividends
| Account | 2024 | 2023 | 2022 | 2021 | 2020 | 
|---|---|---|---|---|---|
| Föreslagen utdelning | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 
Föreslagen utdelning
 2024  0 KSEK  
 2023  0 KSEK  
 2022  0 KSEK  
 2021  0 KSEK  
 2020  0 KSEK  
 Accounting Period
Shows start and end dates of accounting periods
| Account | 2024 | 2023 | 2022 | 2021 | 2020 | 
|---|---|---|---|---|---|
| Startdatum | 2024-01-01 | 2023-01-01 | 2022-01-01 | 2021-01-01 | 2020-01-01 | 
| Slutdatum | 2024-12-31 | 2023-12-31 | 2022-12-31 | 2021-12-31 | 2020-12-31 | 
Startdatum
 2024  2024-01-01  
 2023  2023-01-01  
 2022  2022-01-01  
 2021  2021-01-01  
 2020  2020-01-01  
 Slutdatum
 2024  2024-12-31  
 2023  2023-12-31  
 2022  2022-12-31  
 2021  2021-12-31  
 2020  2020-12-31  
 Income Statement
Shows company revenues, costs and results
| Account | 2024 | 2023 | 2022 | 2021 | 2020 | 
|---|---|---|---|---|---|
| NettoomsÀttning | 61,024 KSEK | 52,432 KSEK | 62,956 KSEK | 33,839 KSEK | 23,904 KSEK | 
| Ăvrig omsĂ€ttning | 10,567 KSEK | 17,346 KSEK | 12,216 KSEK | 5,732 KSEK | 5,155 KSEK | 
| OmsÀttning | 71,591 KSEK | 69,778 KSEK | 75,172 KSEK | 39,571 KSEK | 29,059 KSEK | 
| Rörelsekostnader | -85,735 KSEK | -120,593 KSEK | -100,999 KSEK | -50,660 KSEK | -28,674 KSEK | 
| Rörelseresultat efter avskrivningar | -14,144 KSEK | -50,816 KSEK | -25,826 KSEK | -11,089 KSEK | 384 KSEK | 
| Finansiella intÀkter | 0 KSEK | 124 KSEK | 6 KSEK | 83 KSEK | 0 KSEK | 
| Finansiella kostnader | -516 KSEK | -609 KSEK | -609 KSEK | -22 KSEK | -64 KSEK | 
| Resultat efter finansnetto | -13,516 KSEK | -51,300 KSEK | -26,429 KSEK | -11,028 KSEK | 320 KSEK | 
| Resultat före skatt | -13,516 KSEK | -51,300 KSEK | -26,429 KSEK | -10,517 KSEK | 185 KSEK | 
| Skatt pÄ Ärets resultat | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | -87 KSEK | 
| Ă rets resultat | -13,516 KSEK | -51,300 KSEK | -26,429 KSEK | -10,517 KSEK | 98 KSEK | 
NettoomsÀttning
 2024  61,024 KSEK  
 2023  52,432 KSEK  
 2022  62,956 KSEK  
 2021  33,839 KSEK  
 2020  23,904 KSEK  
 Ăvrig omsĂ€ttning
 2024  10,567 KSEK  
 2023  17,346 KSEK  
 2022  12,216 KSEK  
 2021  5,732 KSEK  
 2020  5,155 KSEK  
 OmsÀttning
 2024  71,591 KSEK  
 2023  69,778 KSEK  
 2022  75,172 KSEK  
 2021  39,571 KSEK  
 2020  29,059 KSEK  
 Rörelsekostnader
 2024  -85,735 KSEK  
 2023  -120,593 KSEK  
 2022  -100,999 KSEK  
 2021  -50,660 KSEK  
 2020  -28,674 KSEK  
 Rörelseresultat efter avskrivningar
 2024  -14,144 KSEK  
 2023  -50,816 KSEK  
 2022  -25,826 KSEK  
 2021  -11,089 KSEK  
 2020  384 KSEK  
 Finansiella intÀkter
 2024  0 KSEK  
 2023  124 KSEK  
 2022  6 KSEK  
 2021  83 KSEK  
 2020  0 KSEK  
 Finansiella kostnader
 2024  -516 KSEK  
 2023  -609 KSEK  
 2022  -609 KSEK  
 2021  -22 KSEK  
 2020  -64 KSEK  
 Resultat efter finansnetto
 2024  -13,516 KSEK  
 2023  -51,300 KSEK  
 2022  -26,429 KSEK  
 2021  -11,028 KSEK  
 2020  320 KSEK  
 Resultat före skatt
 2024  -13,516 KSEK  
 2023  -51,300 KSEK  
 2022  -26,429 KSEK  
 2021  -10,517 KSEK  
 2020  185 KSEK  
 Skatt pÄ Ärets resultat
 2024  0 KSEK  
 2023  0 KSEK  
 2022  0 KSEK  
 2021  0 KSEK  
 2020  -87 KSEK  
 Ă rets resultat
 2024  -13,516 KSEK  
 2023  -51,300 KSEK  
 2022  -26,429 KSEK  
 2021  -10,517 KSEK  
 2020  98 KSEK  
 Balance Sheet
Shows company assets, liabilities and equity
| Account | 2024 | 2023 | 2022 | 2021 | 2020 | 
|---|---|---|---|---|---|
| Immateriella anlÀggningstillgÄngar | 28,795 KSEK | 27,244 KSEK | 16,683 KSEK | 9,251 KSEK | 5,419 KSEK | 
| Materiella anlÀggningstillgÄngar | 2,240 KSEK | 2,940 KSEK | 68 KSEK | 61 KSEK | 45 KSEK | 
| Finansiella anlÀggningstillgÄngar | 491 KSEK | 823 KSEK | 333 KSEK | 332 KSEK | 286 KSEK | 
| AnlÀggningstillgÄngar | 31,526 KSEK | 31,007 KSEK | 17,084 KSEK | 9,645 KSEK | 5,749 KSEK | 
| Varulager | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 
| Kundfordringar | 17,332 KSEK | 10,322 KSEK | 10,028 KSEK | 15,567 KSEK | 6,521 KSEK | 
| Kassa och bank | 12,651 KSEK | 25,403 KSEK | 61,313 KSEK | 2,915 KSEK | 6,001 KSEK | 
| OmsÀttningstillgÄngar | 35,636 KSEK | 41,360 KSEK | 81,074 KSEK | 21,731 KSEK | 15,985 KSEK | 
| Summa tillgÄngar | 67,162 KSEK | 78,367 KSEK | 98,159 KSEK | 31,377 KSEK | 21,735 KSEK | 
| Fritt eget kapital | 5,758 KSEK | 20,826 KSEK | 51,057 KSEK | 2,574 KSEK | -4,434 KSEK | 
| Obeskattade reserver | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 511 KSEK | 
| Eget kapital | 34,633 KSEK | 48,148 KSEK | 67,808 KSEK | 11,880 KSEK | 1,035 KSEK | 
| AvsÀttningar | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 
| LÄngfristiga skulder | 155 KSEK | 2,471 KSEK | 6,569 KSEK | 768 KSEK | 105 KSEK | 
| Leverantörsskulder | 2,507 KSEK | 1,749 KSEK | 9,301 KSEK | 2,631 KSEK | 875 KSEK | 
| Kortfristiga skulder | 32,374 KSEK | 27,748 KSEK | 23,782 KSEK | 18,729 KSEK | 20,084 KSEK | 
| Summa eget kapital och skulder | 67,162 KSEK | 78,367 KSEK | 98,159 KSEK | 31,377 KSEK | 21,735 KSEK | 
Immateriella anlÀggningstillgÄngar
 2024  28,795 KSEK  
 2023  27,244 KSEK  
 2022  16,683 KSEK  
 2021  9,251 KSEK  
 2020  5,419 KSEK  
 Materiella anlÀggningstillgÄngar
 2024  2,240 KSEK  
 2023  2,940 KSEK  
 2022  68 KSEK  
 2021  61 KSEK  
 2020  45 KSEK  
 Finansiella anlÀggningstillgÄngar
 2024  491 KSEK  
 2023  823 KSEK  
 2022  333 KSEK  
 2021  332 KSEK  
 2020  286 KSEK  
 AnlÀggningstillgÄngar
 2024  31,526 KSEK  
 2023  31,007 KSEK  
 2022  17,084 KSEK  
 2021  9,645 KSEK  
 2020  5,749 KSEK  
 Varulager
 2024  0 KSEK  
 2023  0 KSEK  
 2022  0 KSEK  
 2021  0 KSEK  
 2020  0 KSEK  
 Kundfordringar
 2024  17,332 KSEK  
 2023  10,322 KSEK  
 2022  10,028 KSEK  
 2021  15,567 KSEK  
 2020  6,521 KSEK  
 Kassa och bank
 2024  12,651 KSEK  
 2023  25,403 KSEK  
 2022  61,313 KSEK  
 2021  2,915 KSEK  
 2020  6,001 KSEK  
 OmsÀttningstillgÄngar
 2024  35,636 KSEK  
 2023  41,360 KSEK  
 2022  81,074 KSEK  
 2021  21,731 KSEK  
 2020  15,985 KSEK  
 Summa tillgÄngar
 2024  67,162 KSEK  
 2023  78,367 KSEK  
 2022  98,159 KSEK  
 2021  31,377 KSEK  
 2020  21,735 KSEK  
 Fritt eget kapital
 2024  5,758 KSEK  
 2023  20,826 KSEK  
 2022  51,057 KSEK  
 2021  2,574 KSEK  
 2020  -4,434 KSEK  
 Obeskattade reserver
 2024  0 KSEK  
 2023  0 KSEK  
 2022  0 KSEK  
 2021  0 KSEK  
 2020  511 KSEK  
 Eget kapital
 2024  34,633 KSEK  
 2023  48,148 KSEK  
 2022  67,808 KSEK  
 2021  11,880 KSEK  
 2020  1,035 KSEK  
 AvsÀttningar
 2024  0 KSEK  
 2023  0 KSEK  
 2022  0 KSEK  
 2021  0 KSEK  
 2020  0 KSEK  
 LÄngfristiga skulder
 2024  155 KSEK  
 2023  2,471 KSEK  
 2022  6,569 KSEK  
 2021  768 KSEK  
 2020  105 KSEK  
 Leverantörsskulder
 2024  2,507 KSEK  
 2023  1,749 KSEK  
 2022  9,301 KSEK  
 2021  2,631 KSEK  
 2020  875 KSEK  
 Kortfristiga skulder
 2024  32,374 KSEK  
 2023  27,748 KSEK  
 2022  23,782 KSEK  
 2021  18,729 KSEK  
 2020  20,084 KSEK  
 Summa eget kapital och skulder
 2024  67,162 KSEK  
 2023  78,367 KSEK  
 2022  98,159 KSEK  
 2021  31,377 KSEK  
 2020  21,735 KSEK  
 