đžđȘ Boost Construction AB
Organization Number: 559311-2195
Company Information
Address
Föreningsgatan 3 a, 962 32 Jokkmokk
Employees
10
Phone Number
Ratsit: 070-9104660
Ratsit: +4672-2394018
Financial Information
Detailed financial data for recent years
Salaries & Dividends
Shows salary costs and dividends
Account | 2024 | 2023 | 2022 | 2021 |
---|---|---|---|---|
Föreslagen utdelning | 0 KSEK | 500 KSEK | 0 KSEK | 0 KSEK |
Föreslagen utdelning
2024 0 KSEK
2023 500 KSEK
2022 0 KSEK
2021 0 KSEK
Accounting Period
Shows start and end dates of accounting periods
Account | 2024 | 2023 | 2022 | 2021 |
---|---|---|---|---|
Startdatum | 2024-01-01 | 2023-01-01 | 2022-01-01 | 2021-04-09 |
Slutdatum | 2024-12-31 | 2023-12-31 | 2022-12-31 | 2021-12-31 |
Startdatum
2024 2024-01-01
2023 2023-01-01
2022 2022-01-01
2021 2021-04-09
Slutdatum
2024 2024-12-31
2023 2023-12-31
2022 2022-12-31
2021 2021-12-31
Income Statement
Shows company revenues, costs and results
Account | 2024 | 2023 | 2022 | 2021 |
---|---|---|---|---|
NettoomsÀttning | 45,632 KSEK | 20,946 KSEK | 18,271 KSEK | 6,250 KSEK |
Ăvrig omsĂ€ttning | 213 KSEK | 14 KSEK | 0 KSEK | 0 KSEK |
OmsÀttning | 45,845 KSEK | 20,960 KSEK | 18,271 KSEK | 6,250 KSEK |
Rörelsekostnader | -42,528 KSEK | -20,146 KSEK | -16,713 KSEK | -5,764 KSEK |
Rörelseresultat efter avskrivningar | 3,316 KSEK | 814 KSEK | 1,557 KSEK | 486 KSEK |
Finansiella intÀkter | 3 KSEK | 0 KSEK | 0 KSEK | 0 KSEK |
Finansiella kostnader | -49 KSEK | -18 KSEK | -8 KSEK | 0 KSEK |
Resultat efter finansnetto | 3,271 KSEK | 796 KSEK | 1,550 KSEK | 486 KSEK |
Resultat före skatt | 2,356 KSEK | 667 KSEK | 1,160 KSEK | 366 KSEK |
Skatt pÄ Ärets resultat | -510 KSEK | -159 KSEK | -248 KSEK | -77 KSEK |
Ă rets resultat | 1,846 KSEK | 508 KSEK | 912 KSEK | 289 KSEK |
NettoomsÀttning
2024 45,632 KSEK
2023 20,946 KSEK
2022 18,271 KSEK
2021 6,250 KSEK
Ăvrig omsĂ€ttning
2024 213 KSEK
2023 14 KSEK
2022 0 KSEK
2021 0 KSEK
OmsÀttning
2024 45,845 KSEK
2023 20,960 KSEK
2022 18,271 KSEK
2021 6,250 KSEK
Rörelsekostnader
2024 -42,528 KSEK
2023 -20,146 KSEK
2022 -16,713 KSEK
2021 -5,764 KSEK
Rörelseresultat efter avskrivningar
2024 3,316 KSEK
2023 814 KSEK
2022 1,557 KSEK
2021 486 KSEK
Finansiella intÀkter
2024 3 KSEK
2023 0 KSEK
2022 0 KSEK
2021 0 KSEK
Finansiella kostnader
2024 -49 KSEK
2023 -18 KSEK
2022 -8 KSEK
2021 0 KSEK
Resultat efter finansnetto
2024 3,271 KSEK
2023 796 KSEK
2022 1,550 KSEK
2021 486 KSEK
Resultat före skatt
2024 2,356 KSEK
2023 667 KSEK
2022 1,160 KSEK
2021 366 KSEK
Skatt pÄ Ärets resultat
2024 -510 KSEK
2023 -159 KSEK
2022 -248 KSEK
2021 -77 KSEK
Ă rets resultat
2024 1,846 KSEK
2023 508 KSEK
2022 912 KSEK
2021 289 KSEK
Balance Sheet
Shows company assets, liabilities and equity
Account | 2024 | 2023 | 2022 | 2021 |
---|---|---|---|---|
Immateriella anlÀggningstillgÄngar | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK |
Materiella anlÀggningstillgÄngar | 721 KSEK | 246 KSEK | 0 KSEK | 0 KSEK |
Finansiella anlÀggningstillgÄngar | 25 KSEK | 0 KSEK | 0 KSEK | 0 KSEK |
AnlÀggningstillgÄngar | 746 KSEK | 246 KSEK | 0 KSEK | 0 KSEK |
Varulager | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK |
Kundfordringar | 5,158 KSEK | 2,397 KSEK | 2,288 KSEK | 957 KSEK |
Kassa och bank | 5,315 KSEK | 1,005 KSEK | 1,603 KSEK | 651 KSEK |
OmsÀttningstillgÄngar | 11,081 KSEK | 3,554 KSEK | 4,081 KSEK | 1,658 KSEK |
Summa tillgÄngar | 11,827 KSEK | 3,800 KSEK | 4,081 KSEK | 1,658 KSEK |
Fritt eget kapital | 1,855 KSEK | 509 KSEK | 1,201 KSEK | 289 KSEK |
Obeskattade reserver | 1,553 KSEK | 639 KSEK | 510 KSEK | 120 KSEK |
Eget kapital | 1,880 KSEK | 534 KSEK | 1,226 KSEK | 314 KSEK |
AvsÀttningar | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK |
LÄngfristiga skulder | 300 KSEK | 152 KSEK | 0 KSEK | 0 KSEK |
Leverantörsskulder | 5,946 KSEK | 1,414 KSEK | 1,437 KSEK | 838 KSEK |
Kortfristiga skulder | 8,094 KSEK | 2,475 KSEK | 2,345 KSEK | 1,224 KSEK |
Summa eget kapital och skulder | 11,827 KSEK | 3,800 KSEK | 4,081 KSEK | 1,658 KSEK |
Immateriella anlÀggningstillgÄngar
2024 0 KSEK
2023 0 KSEK
2022 0 KSEK
2021 0 KSEK
Materiella anlÀggningstillgÄngar
2024 721 KSEK
2023 246 KSEK
2022 0 KSEK
2021 0 KSEK
Finansiella anlÀggningstillgÄngar
2024 25 KSEK
2023 0 KSEK
2022 0 KSEK
2021 0 KSEK
AnlÀggningstillgÄngar
2024 746 KSEK
2023 246 KSEK
2022 0 KSEK
2021 0 KSEK
Varulager
2024 0 KSEK
2023 0 KSEK
2022 0 KSEK
2021 0 KSEK
Kundfordringar
2024 5,158 KSEK
2023 2,397 KSEK
2022 2,288 KSEK
2021 957 KSEK
Kassa och bank
2024 5,315 KSEK
2023 1,005 KSEK
2022 1,603 KSEK
2021 651 KSEK
OmsÀttningstillgÄngar
2024 11,081 KSEK
2023 3,554 KSEK
2022 4,081 KSEK
2021 1,658 KSEK
Summa tillgÄngar
2024 11,827 KSEK
2023 3,800 KSEK
2022 4,081 KSEK
2021 1,658 KSEK
Fritt eget kapital
2024 1,855 KSEK
2023 509 KSEK
2022 1,201 KSEK
2021 289 KSEK
Obeskattade reserver
2024 1,553 KSEK
2023 639 KSEK
2022 510 KSEK
2021 120 KSEK
Eget kapital
2024 1,880 KSEK
2023 534 KSEK
2022 1,226 KSEK
2021 314 KSEK
AvsÀttningar
2024 0 KSEK
2023 0 KSEK
2022 0 KSEK
2021 0 KSEK
LÄngfristiga skulder
2024 300 KSEK
2023 152 KSEK
2022 0 KSEK
2021 0 KSEK
Leverantörsskulder
2024 5,946 KSEK
2023 1,414 KSEK
2022 1,437 KSEK
2021 838 KSEK
Kortfristiga skulder
2024 8,094 KSEK
2023 2,475 KSEK
2022 2,345 KSEK
2021 1,224 KSEK
Summa eget kapital och skulder
2024 11,827 KSEK
2023 3,800 KSEK
2022 4,081 KSEK
2021 1,658 KSEK