EAM Solar’s business is to own solar power plants under long-term electricity sales contracts.
Through an active ownership approach of solar power plant assets, the main objective of the Company and its Manager is to maximize shareholder values through best practice operations.
EAM Solar will, according to the company by-laws, pay its investors as high a dividend as achievable within the limits of the Company’s financial position on a continuous basis.
The Board of Directors in EAM Solar ASA make all decisions on investments, divestments and material contracts.
2011
Served areaEurope
HeadquartersBryggetorget 7, 0250 Oslo – Norway
Line item in (eur) | 01.01.2020 | 01.01.2021 | 01.01.2022 | 01.01.2023 |
---|---|---|---|---|
Assets | N/A | 16,738,726.00 | 13,658,754.00 | 10,659,199.00 |
Noncurrent Assets | N/A | 7,762,128.00 | 7,085,939.00 | 6,385,396.00 |
Property Plant And Equipment | N/A | 7,099,936.00 | 6,538,257.00 | 5,987,981.00 |
Deferred Tax Assets | N/A | 109,147.00 | 82,862.00 | 64,018.00 |
Other Noncurrent Assets | N/A | 542,544.00 | 455,020.00 | 324,297.00 |
Current Assets | N/A | 8,976,598.00 | 6,572,814.00 | 4,273,803.00 |
Trade And Other Current Receivables | N/A | 7,879,195.00 | 5,450,336.00 | 2,174,744.00 |
Cash and cash equivalents | 365,687.00 | 473,322.00 | 581,696.00 | 1,464,397.00 |
Other Current Assets | N/A | 624,081.00 | 540,782.00 | 634,662.00 |
Equity And Liabilities | N/A | 16,738,726.00 | 13,658,754.00 | 10,659,199.00 |
Equity | 10,953,234.00 | 9,671,765.00 | 6,770,782.00 | 3,865,999.00 |
Issued Capital | N/A | 8,126,110.00 | 8,126,110.00 | 8,126,110.00 |
Share Premium | N/A | 27,603,876.00 | 27,603,876.00 | 27,603,876.00 |
Liabilities | N/A | 7,066,961.00 | 6,887,971.00 | 6,793,200.00 |
Noncurrent Liabilities | N/A | 5,256,717.00 | 4,858,878.00 | 4,488,674.00 |
Deferred Tax Liabilities | N/A | 682,785.00 | 743,424.00 | 804,250.00 |
Other Noncurrent Liabilities | N/A | 393,083.00 | 343,887.00 | 343,887.00 |
Current Liabilities | N/A | 1,810,244.00 | 2,029,093.00 | 2,304,526.00 |
Trade And Other Current Payables | N/A | 1,421,789.00 | 1,619,996.00 | 1,873,690.00 |
Line item in (eur) | 01.01.2020/ 01.01.2021 |
01.01.2021/ 01.01.2022 |
01.01.2022/ 01.01.2023 |
---|---|---|---|
Revenue | 1,271,084.00 | 1,333,522.00 | 1,221,073.00 |
Professional Fees Expense | 1,769,672.00 | 2,498,623.00 | 1,386,837.00 |
Depreciation Amortisation And Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss | 556,471.00 | 562,378.00 | 563,575.00 |
Profit Loss From Operating Activities | -2,215,228.00 | -2,854,055.00 | -2,492,686.00 |
Finance Income | 4,058,170.00 | 255,118.00 | 1,192,570.00 |
Finance Costs | 1,861,061.00 | 1,090,812.00 | 764,986.00 |
Profit Loss Before Tax | -18,119.00 | -3,689,749.00 | -2,065,101.00 |
Income Tax Expense Continuing Operations | 154,888.00 | 84,583.00 | 140,582.00 |
Profit (loss) | -173,007.00 | -3,774,332.00 | -2,205,683.00 |
Profit Loss Attributable To Owners Of Parent | -173,007.00 | -3,774,332.00 | -2,205,683.00 |
Line item in (eur) | 01.01.2020 | 01.01.2021 | 01.01.2022 | 01.01.2023 |
---|---|---|---|---|
Profit (loss) | N/A | -173,007.00 | -3,774,332.00 | -2,205,683.00 |
Adjustments For Increase Decrease In Trade Account Payable | N/A | -746,814.00 | 50,152.00 | -449,978.00 |
Adjustments For Provisions | N/A | -499,072.00 | 365,494.00 | 1,383,856.00 |
Adjustments For Unrealised Foreign Exchange Losses Gains | N/A | -1,111,469.00 | 1,129,784.00 | -656,901.00 |
Cash Flows From Used In Operating Activities | N/A | -3,754,749.00 | -1,690,367.00 | -687,649.00 |
Cash Flows From Losing Control Of Subsidiaries Or Other Businesses Classified As Investing Activities | N/A | 0.00 | 0.00 | N/A |
Purchase Of Property Plant And Equipment Classified As Investing Activities | N/A | 0.00 | 0.00 | 12,600.00 |
Cash Receipts From Repayment Of Advances And Loans Made To Other Parties Classified As Investing Activities | N/A | 2,698,067.00 | 2,405,121.00 | 2,213,757.00 |
Cash Flows From Used In Investing Activities | N/A | 4,378,539.00 | 2,405,121.00 | 2,201,157.00 |
Interest Paid Classified As Financing Activities | N/A | 147,125.00 | 217,739.00 | 221,516.00 |
Cash Flows From Used In Financing Activities | N/A | -516,155.00 | -606,380.00 | -630,807.00 |
Increase (decrease) in cash and cash equivalents after effect of exchange rate changes | N/A | 107,635.00 | 108,374.00 | 882,701.00 |
Cash and cash equivalents | 365,687.00 | 473,322.00 | 581,696.00 | 1,464,397.00 |
Please note that some sums might not add up.
NO0010607781
LEI5967007LIEEXZXIPFC54
SectorAsset Management & Custody Banks
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