Osaühing Mapri Ehitus

10131080

Company info

Osaühing Mapri Ehitus

10131080

Kvaliteetne ehituse täisteenus - Mapri Ehitus OÜhttps://mapri.euKvaliteetne ehituse täisteenus - Mapri Ehitus OÜ

Mapri Ehitus OÜ osutab projektipõhist peatöövõttu, tegeleb põllumajandusehitusega ning teostab betoonitöid üle Eesti. Tutvu tehtud töödega siit!

General info

Name

Osaühing Mapri Ehitus

Registry code

10131080

VAT number

EE101404738

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

05.12.1996 (27)

Financial year

01.01-31.12

Capital

6 036.00 €

Activity

41201 - Construction of residential and non-residential buildings

Revenue

161 345 991 €

Profit

9 543 768 €

Profit margin

6%

Gross salary

-

Equity

22 342 328 €

Employees

182

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

43%

Return on assets

20%

Related parties

Owner Representative Beneficial owner Roles

Tarmo Roos

09.05.1984 (40)

10% - 604.00 EUR Board member -

Mapri OÜ

14056211

90% - 5 432.00 EUR - -

Priit Jaagant

31.07.1972 (52)

- Board member Indirect ownership

Margus Väärsi

23.03.1984 (40)

- - Indirect ownership

Related companies

Owner Representative Beneficial owner Roles

BioMari OÜ

10649753

32% - 820.00 EUR - -

RVT Ehitus OÜ

12587683

40% - 1 668.00 EUR - -

Bauwise OÜ

14355899

5% - 157.48 EUR - -

Lubja Kodu OÜ

12729019

50% - 1 250.00 EUR - - Founder

Reterra Estate OÜ

12809907

- - - Founder

Materra OÜ

12395156

- - - Founder

Financial info

2019
30.06.2020
2020
30.06.2021
2021
30.06.2022
2022
30.06.2023
2023
30.06.2024
Total Revenue 74 872 800 € 84 139 416 € 106 216 489 € 140 556 368 € 161 345 991 €
Net profit (loss) for the period 2 443 269 € 1 989 056 € 1 743 142 € 3 267 897 € 9 543 768 €
Profit Margin 3% 2% 2% 2% 6%
Current Assets 17 566 185 € 18 579 540 € 25 248 749 € 36 420 971 € 38 738 409 €
Fixed Assets 5 422 465 € 6 865 494 € 9 003 022 € 4 815 327 € 10 177 470 €
Total Assets 22 988 650 € 25 445 034 € 34 251 771 € 41 236 298 € 48 915 879 €
Current Liabilities 12 674 947 € 12 733 948 € 20 186 567 € 24 348 608 € 25 094 444 €
Non Current Liabilities 373 053 € 646 099 € 756 795 € 1 061 384 € 1 479 107 €
Total Liabilities 13 048 000 € 13 380 047 € 20 943 362 € 25 409 992 € 26 573 551 €
Share Capital - - - - -
Equity 9 940 650 € 12 064 987 € 13 308 409 € 15 826 306 € 22 342 328 €
Employees 121 146 162 173 182

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 30 026 452.87 € 1 492 718.64 € 764 647.93 € 135
2023 Q4 47 007 900.3 € 2 949 659.04 € 1 039 748.97 € 137
2023 Q3 36 042 521.29 € 2 132 895.04 € 894 753.34 € 132
2023 Q2 32 393 267 € 2 324 102.12 € 751 413.72 € 136
2023 Q1 19 548 516.11 € 644 962.73 € 645 998.29 € 123
2022 Q4 29 533 487.89 € 1 476 895.08 € 638 182.58 € 123
2022 Q3 30 718 186.24 € 2 050 382.95 € 591 579.29 € 124
2022 Q2 25 970 730.53 € 986 484.62 € 525 533.37 € 119
2022 Q1 25 165 829.66 € 1 560 712.51 € 561 420.02 € 120
2021 Q4 29 486 703.8 € 1 536 762.53 € 497 807.47 € 120
2021 Q3 22 293 270.57 € 760 760.66 € 482 806.51 € 115
2021 Q2 18 044 283.22 € 811 726.42 € 423 430.1 € 115
2021 Q1 14 853 067.39 € 867 316.45 € 398 451.65 € 104
2020 Q4 15 845 504.44 € 839 424.11 € 462 842.88 € 96
2020 Q3 14 204 277.02 € 602 302.28 € 455 403.19 € 99
2020 Q2 19 401 398.44 € 870 153.33 € 362 733.57 € 110
2020 Q1 20 607 788.65 € 653 022.59 € 429 873.74 € 112