aktsiaselts Resand

10134173

Company info

aktsiaselts Resand

10134173

AS Resand - Arhitektuuriprojektid / Tehnosüsteemide projekteeriminehttps://resand.eeAS Resand - Arhitektuuriprojektid / Tehnosüsteemide projekteerimine

22 aastat kogemust. Projekteerimisbüroo AS RESAND on asutatud 1994. aasta jaanuaris.

General info

Name

aktsiaselts Resand

Registry code

10134173

VAT number

EE100002209

Type

AS - Joint Stock Company

Status

Registered

Foundation date

04.10.1996 (28)

Financial year

01.01-31.12

Capital

25 560.00 €

Activity

71121 - Constructional engineering-technical designing and consulting

Revenue

1 262 505 €

Profit

472 039 €

Profit margin

37%

Gross salary

1 906 €

(estimate is approximate)

Equity

2 695 192 €

Employees

10

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

18%

Return on assets

17%

Related parties

Owner Representative Beneficial owner Roles

AINO NEEME

12.11.1942 (82)

38% - 9 712.80 EUR - Direct ownership Shareholder

Andres Vijar

09.02.1967 (57)

25% - 6 390.00 EUR - Direct ownership Board memberShareholder

Ragnar Pabort

08.06.1980 (44)

25% - 6 390.00 EUR - Direct ownership Board memberShareholder

Andres Neeme

11.04.1967 (57)

12% - 3 067.20 EUR Board member Direct ownership Shareholder

Tiit Neeme

09.12.1989 (34)

- - Member of a higher management body, i.e. board member or supervisory board member Board member

Related companies

Owner Representative Beneficial owner Roles

Osaühing Kaguehitus

10288485

50% - 3 194.00 EUR - -

Financial info

2019
29.06.2020
2020
30.06.2021
2021
30.06.2022
2022
30.06.2023
2023
21.06.2024
Total Revenue 1 033 755 € 712 358 € 784 679 € 881 395 € 1 262 505 €
Net profit (loss) for the period 353 755 € 39 899 € 69 086 € 176 860 € 472 039 €
Profit Margin 34% 6% 9% 20% 37%
Current Assets 1 767 813 € 1 621 230 € 1 771 307 € 2 089 448 € 1 861 360 €
Fixed Assets 600 373 € 656 151 € 502 857 € 371 090 € 968 140 €
Total Assets 2 368 186 € 2 277 381 € 2 274 164 € 2 460 538 € 2 829 500 €
Current Liabilities 176 411 € 195 708 € 123 405 € 132 919 € 134 308 €
Non Current Liabilities - - - - -
Total Liabilities - - - - -
Share Capital 25 560 € 25 560 € 25 560 € 25 560 € 25 560 €
Equity 2 191 775 € 2 081 673 € 2 150 759 € 2 327 619 € 2 695 192 €
Employees 8 9 9 10 10

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 311 150 € 73 094.95 € 31 266.77 € 10
2023 Q4 306 775 € 68 194.49 € 30 225.18 € 10
2023 Q3 467 010 € 121 200.78 € 35 630.04 € 10
2023 Q2 176 855 € 47 971.75 € 29 995.32 € 10
2023 Q1 298 290 € 61 580.58 € 27 974.13 € 10
2022 Q4 314 300 € 68 670.62 € 27 818.81 € 10
2022 Q3 255 360.33 € 57 923.54 € 23 136.77 € 10
2022 Q2 155 064 € 38 056.02 € 21 801.92 € 8
2022 Q1 116 578 € 24 219.93 € 23 426.37 € 9
2021 Q4 226 480 € 43 453.75 € 21 605.46 € 10
2021 Q3 138 710 € 51 826.98 € 27 683.14 € 10
2021 Q2 235 700 € 48 681.53 € 24 612.75 € 10
2021 Q1 191 840 € 56 370.99 € 23 879.17 € 10
2020 Q4 154 182 € 34 983.58 € 23 649.51 € 10
2020 Q3 165 790 € 53 768.04 € 28 342.03 € 8
2020 Q2 264 595 € 60 569.69 € 22 420.02 € 8
2020 Q1 220 099 € 57 112.06 € 20 745.64 € 8