aktsiaselts REVEKOR

10135942

Company info

aktsiaselts REVEKOR

10135942

Revekor AShttps://revekor.eeRevekor AS

Revekor AS kommunaalteenuste pakkuja Räpina vallas. Veemajandus, küttemajandus, elamumajandus Räpina vallas.

General info

Name

aktsiaselts REVEKOR

Registry code

10135942

VAT number

EE100002458

Type

AS - Joint Stock Company

Status

Registered

Foundation date

27.11.1996 (27)

Financial year

01.01-31.12

Capital

201 600.00 €

Activity

81101 - Combined facilities support activities 37001 - Sewerage and wastewater management 36001 - Water collection, treatment and supply 68321 - Management of buildings and rental houses (apartment associations, housing associations, building associations etc) 35301 - Steam and air conditioning supply 81291 - Other cleaning activities

Revenue

1 696 534 €

Profit

-20 500 €

Profit margin

-1%

Gross salary

1 124 €

(estimate is approximate)

Equity

1 799 873 €

Employees

33

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-1%

Return on assets

-1%

Related parties

Owner Representative Beneficial owner Roles

Räpina Vallavalitsus

75025503

100% - 201 600.00 EUR - - Shareholder

Katrin Luik

04.07.1982 (42)

- Board member -

Älan Zupsmann

11.11.1979 (45)

- Board member -

Ülo Tuuling

21.03.1965 (59)

- Board member -

Enel Liin

12.01.1974 (50)

- - Right to appoint or recall the majority of the executive management or higher management members

Leiju Laine

11.03.1965 (59)

- - - Board member

Olev Elmik

15.03.1956 (68)

- - - Board member

Uno Kaldmäe

21.01.1956 (68)

- - - Chairman of the board

Financial info

2019
15.06.2020
2020
09.06.2021
2021
26.05.2022
2022
16.06.2023
2023
14.06.2024
Total Revenue 1 224 384 € 1 224 142 € 1 344 930 € 1 514 287 € 1 696 534 €
Net profit (loss) for the period 126 462 € 301 498 € 35 197 € -276 186 € -20 500 €
Profit Margin 10% 25% 3% -18% -1%
Current Assets 648 617 € 597 134 € 781 022 € 817 320 € 652 571 €
Fixed Assets 1 849 087 € 2 102 237 € 2 018 025 € 1 711 884 € 1 622 209 €
Total Assets 2 497 704 € 2 699 371 € 2 799 047 € 2 529 204 € 2 274 780 €
Current Liabilities 672 450 € 638 006 € 702 485 € 708 831 € 474 907 €
Non Current Liabilities 65 387 € 0 € 0 € - -
Total Liabilities 737 837 € - - - -
Share Capital 201 600 € 201 600 € 201 600 € 201 600 € 201 600 €
Equity 1 759 867 € 2 061 365 € 2 096 562 € 1 820 373 € 1 799 873 €
Employees 31 33 32 30 33

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 624 976.72 € 106 466.14 € 55 742.6 € 28
2023 Q4 338 844.56 € 66 287.34 € 50 494.84 € 29
2023 Q3 51 558.06 € 53 984.6 € 56 278.38 € 33
2023 Q2 416 100.85 € 94 457.12 € 51 632.27 € 31
2023 Q1 661 116.57 € 101 377.74 € 51 378.41 € 30
2022 Q4 426 824.54 € 89 724.75 € 55 864.7 € 29
2022 Q3 236 021.25 € 64 378.08 € 54 574.85 € 28
2022 Q2 352 793.74 € 90 988.62 € 52 831.56 € 32
2022 Q1 549 575.2 € 97 937.53 € 49 474.35 € 30
2021 Q4 334 026.62 € 68 330.89 € 42 523.23 € 36
2021 Q3 218 886.6 € 70 020.11 € 49 928.03 € 31
2021 Q2 363 297 € 85 616.2 € 43 003.55 € 33
2021 Q1 543 244.86 € 100 370.28 € 41 063.22 € 33
2020 Q4 305 952.42 € 51 623.43 € 36 091.77 € 32
2020 Q3 250 613.9 € 42 859.75 € 42 531.52 € 31
2020 Q2 330 226.66 € 68 467.1 € 35 262.01 € 35
2020 Q1 396 567.69 € 83 096.53 € 38 338.39 € 32