🇸🇪 Bohmans Nätverk Aktiebolag
Organization Number: 556482-8407
Company Information
Address
Grev Turegatan 20, 114 46 Stockholm
Employees
4
Phone Number
Allabolag: 08-545 899 30
Ratsit: 08-54589930
Ratsit: +4676-0266461
Ratsit: +4676-2175501
Ratsit: 08-6788383
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 | 350 KSEK | 1,500 KSEK | 0 KSEK | 0 KSEK |
Föreslagen utdelning
2024 0 KSEK
2023 350 KSEK
2022 1,500 KSEK
2021 0 KSEK
2020 0 KSEK
Accounting Period
Shows start and end dates of accounting periods
Account | 2024 | 2023 | 2022 | 2021 | 2020 |
---|---|---|---|---|---|
Startdatum | 2023-05-01 | 2022-05-01 | 2021-05-01 | 2020-05-01 | 2019-05-01 |
Slutdatum | 2024-10-31 | 2023-04-30 | 2022-04-30 | 2021-04-30 | 2020-04-30 |
Startdatum
2024 2023-05-01
2023 2022-05-01
2022 2021-05-01
2021 2020-05-01
2020 2019-05-01
Slutdatum
2024 2024-10-31
2023 2023-04-30
2022 2022-04-30
2021 2021-04-30
2020 2020-04-30
Income Statement
Shows company revenues, costs and results
Account | 2024 | 2023 | 2022 | 2021 | 2020 |
---|---|---|---|---|---|
Nettoomsättning | 26,201 KSEK | 31,855 KSEK | 41,494 KSEK | 16,795 KSEK | 19,036 KSEK |
Övrig omsättning | 1,428 KSEK | 1,337 KSEK | 1,823 KSEK | 1,696 KSEK | 607 KSEK |
Omsättning | 27,629 KSEK | 33,192 KSEK | 43,317 KSEK | 18,491 KSEK | 19,643 KSEK |
Rörelsekostnader | -30,266 KSEK | -32,265 KSEK | -39,075 KSEK | -17,875 KSEK | -20,851 KSEK |
Rörelseresultat efter avskrivningar | -2,637 KSEK | 928 KSEK | 4,241 KSEK | 616 KSEK | -1,207 KSEK |
Finansiella intäkter | 12 KSEK | 13 KSEK | 0 KSEK | 10 KSEK | 75 KSEK |
Finansiella kostnader | -66 KSEK | -59 KSEK | -54 KSEK | -21 KSEK | -23 KSEK |
Resultat efter finansnetto | -2,691 KSEK | 882 KSEK | 4,187 KSEK | 605 KSEK | -1,156 KSEK |
Resultat före skatt | -2,016 KSEK | 1,406 KSEK | 2,987 KSEK | 605 KSEK | -1,156 KSEK |
Skatt på årets resultat | 0 KSEK | -369 KSEK | -744 KSEK | 0 KSEK | 0 KSEK |
Årets resultat | -2,016 KSEK | 1,037 KSEK | 2,243 KSEK | 605 KSEK | -1,156 KSEK |
Nettoomsättning
2024 26,201 KSEK
2023 31,855 KSEK
2022 41,494 KSEK
2021 16,795 KSEK
2020 19,036 KSEK
Övrig omsättning
2024 1,428 KSEK
2023 1,337 KSEK
2022 1,823 KSEK
2021 1,696 KSEK
2020 607 KSEK
Omsättning
2024 27,629 KSEK
2023 33,192 KSEK
2022 43,317 KSEK
2021 18,491 KSEK
2020 19,643 KSEK
Rörelsekostnader
2024 -30,266 KSEK
2023 -32,265 KSEK
2022 -39,075 KSEK
2021 -17,875 KSEK
2020 -20,851 KSEK
Rörelseresultat efter avskrivningar
2024 -2,637 KSEK
2023 928 KSEK
2022 4,241 KSEK
2021 616 KSEK
2020 -1,207 KSEK
Finansiella intäkter
2024 12 KSEK
2023 13 KSEK
2022 0 KSEK
2021 10 KSEK
2020 75 KSEK
Finansiella kostnader
2024 -66 KSEK
2023 -59 KSEK
2022 -54 KSEK
2021 -21 KSEK
2020 -23 KSEK
Resultat efter finansnetto
2024 -2,691 KSEK
2023 882 KSEK
2022 4,187 KSEK
2021 605 KSEK
2020 -1,156 KSEK
Resultat före skatt
2024 -2,016 KSEK
2023 1,406 KSEK
2022 2,987 KSEK
2021 605 KSEK
2020 -1,156 KSEK
Skatt på årets resultat
2024 0 KSEK
2023 -369 KSEK
2022 -744 KSEK
2021 0 KSEK
2020 0 KSEK
Årets resultat
2024 -2,016 KSEK
2023 1,037 KSEK
2022 2,243 KSEK
2021 605 KSEK
2020 -1,156 KSEK
Balance Sheet
Shows company assets, liabilities and equity
Account | 2024 | 2023 | 2022 | 2021 | 2020 |
---|---|---|---|---|---|
Immateriella anläggningstillgångar | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK |
Materiella anläggningstillgångar | 89 KSEK | 146 KSEK | 30 KSEK | 30 KSEK | 30 KSEK |
Finansiella anläggningstillgångar | 206 KSEK | 234 KSEK | 241 KSEK | 241 KSEK | 335 KSEK |
Anläggningstillgångar | 295 KSEK | 380 KSEK | 271 KSEK | 271 KSEK | 364 KSEK |
Varulager | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK |
Kundfordringar | 1,766 KSEK | 3,590 KSEK | 7,221 KSEK | 4,451 KSEK | 1,654 KSEK |
Kassa och bank | 68 KSEK | 3,630 KSEK | 5,413 KSEK | 982 KSEK | 673 KSEK |
Omsättningstillgångar | 2,997 KSEK | 8,877 KSEK | 13,659 KSEK | 7,641 KSEK | 6,079 KSEK |
Summa tillgångar | 3,292 KSEK | 9,257 KSEK | 13,930 KSEK | 7,912 KSEK | 6,444 KSEK |
Fritt eget kapital | -9 KSEK | 2,357 KSEK | 2,820 KSEK | 577 KSEK | -28 KSEK |
Obeskattade reserver | 0 KSEK | 675 KSEK | 1,200 KSEK | 0 KSEK | 0 KSEK |
Eget kapital | 111 KSEK | 2,477 KSEK | 2,940 KSEK | 697 KSEK | 92 KSEK |
Avsättningar | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK |
Långfristiga skulder | 878 KSEK | 132 KSEK | 132 KSEK | 132 KSEK | 132 KSEK |
Leverantörsskulder | 1,769 KSEK | 3,594 KSEK | 6,613 KSEK | 3,667 KSEK | 2,234 KSEK |
Kortfristiga skulder | 2,302 KSEK | 5,973 KSEK | 9,658 KSEK | 7,083 KSEK | 6,220 KSEK |
Summa eget kapital och skulder | 3,292 KSEK | 9,257 KSEK | 13,930 KSEK | 7,912 KSEK | 6,444 KSEK |
Immateriella anläggningstillgångar
2024 0 KSEK
2023 0 KSEK
2022 0 KSEK
2021 0 KSEK
2020 0 KSEK
Materiella anläggningstillgångar
2024 89 KSEK
2023 146 KSEK
2022 30 KSEK
2021 30 KSEK
2020 30 KSEK
Finansiella anläggningstillgångar
2024 206 KSEK
2023 234 KSEK
2022 241 KSEK
2021 241 KSEK
2020 335 KSEK
Anläggningstillgångar
2024 295 KSEK
2023 380 KSEK
2022 271 KSEK
2021 271 KSEK
2020 364 KSEK
Varulager
2024 0 KSEK
2023 0 KSEK
2022 0 KSEK
2021 0 KSEK
2020 0 KSEK
Kundfordringar
2024 1,766 KSEK
2023 3,590 KSEK
2022 7,221 KSEK
2021 4,451 KSEK
2020 1,654 KSEK
Kassa och bank
2024 68 KSEK
2023 3,630 KSEK
2022 5,413 KSEK
2021 982 KSEK
2020 673 KSEK
Omsättningstillgångar
2024 2,997 KSEK
2023 8,877 KSEK
2022 13,659 KSEK
2021 7,641 KSEK
2020 6,079 KSEK
Summa tillgångar
2024 3,292 KSEK
2023 9,257 KSEK
2022 13,930 KSEK
2021 7,912 KSEK
2020 6,444 KSEK
Fritt eget kapital
2024 -9 KSEK
2023 2,357 KSEK
2022 2,820 KSEK
2021 577 KSEK
2020 -28 KSEK
Obeskattade reserver
2024 0 KSEK
2023 675 KSEK
2022 1,200 KSEK
2021 0 KSEK
2020 0 KSEK
Eget kapital
2024 111 KSEK
2023 2,477 KSEK
2022 2,940 KSEK
2021 697 KSEK
2020 92 KSEK
Avsättningar
2024 0 KSEK
2023 0 KSEK
2022 0 KSEK
2021 0 KSEK
2020 0 KSEK
Långfristiga skulder
2024 878 KSEK
2023 132 KSEK
2022 132 KSEK
2021 132 KSEK
2020 132 KSEK
Leverantörsskulder
2024 1,769 KSEK
2023 3,594 KSEK
2022 6,613 KSEK
2021 3,667 KSEK
2020 2,234 KSEK
Kortfristiga skulder
2024 2,302 KSEK
2023 5,973 KSEK
2022 9,658 KSEK
2021 7,083 KSEK
2020 6,220 KSEK
Summa eget kapital och skulder
2024 3,292 KSEK
2023 9,257 KSEK
2022 13,930 KSEK
2021 7,912 KSEK
2020 6,444 KSEK