95 Cloudberry Annual report 2021 Financial statements Consolidated statement of financial position NOK 1 000 Note 31.12.2021 31.12.2020 EQUITY AND LIABILITIES Equity Share capital 22 58 811 26 266 Share premium 22 2 676 075 1 061 675 Total paid in capital 2 734 886 1 087 941 Other equity (98 688) (33 230) Non-controlling interests - - Total equity 2 636 199 1 054 712 Non-current liabilities Interest-bearing loans and borrowings 23, 11 294 087 26 440 Non current lease liabilities 25 3 416 3 296 Provisions 24 10 753 15 868 Deferred tax liabilities 16 83 055 13 668 Total non-current liabilities 391 311 59 271 Current liabilities Interest-bearing short term financial liabilities 24 10 105 236 767 Current lease liabilities 25 1 167 1 105 Accounts payable and other current liabilities 24 38 289 26 161 Provisions 24 41 320 18 845 Total current liabilities 90 881 282 878 Total liabilities 482 192 342 150 TOTAL EQUITY AND LIABILITIES 3 118 391 1 396 861 Oslo, 22 March 2022 The Board of Directors of Cloudberry Clean Energy ASA Frank J. Berg Chair of the Board Morten Bergesen Board member Petter W. Borg Board member Benedicte Fossum Board member Liv Lønnum Board member Anders J. Lenborg CEO
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