aktsiaselts "RAND & TUULBERG GRUPP"

10164518

Company info

aktsiaselts "RAND & TUULBERG GRUPP"

10164518

Rand & Tuulberg Grupphttps://rtg.eeRand & Tuulberg Grupp

Rand & Tuulberg Grupp on üks suuremaid ehituskontserne Eestis. Tagame kõrgeima kvaliteedi läbi septsialiseerunud harude, mis kuuluvad oma valdkondade tippu.

General info

Name

aktsiaselts "RAND & TUULBERG GRUPP"

Registry code

10164518

VAT number

EE100035577

Type

AS - Joint Stock Company

Status

Registered

Foundation date

05.12.1996 (27)

Financial year

01.01-31.12

Capital

198 090.00 €

Activity

70221 - Business and other management consultancy activities

Revenue

-

Profit

-

Profit margin

-

Gross salary

-

Equity

-

Employees

-

Annual report

Not submitted

Tax arrears

No tax arrears

Return on equity

-

Return on assets

-

Related parties

Owner Representative Beneficial owner Roles

Raivo Rand

22.11.1956 (67)

50% - 99 045.00 EUR Board member Direct ownership FounderShareholder

Aivar Tuulberg

02.04.1962 (62)

50% - 99 045.00 EUR - Direct ownership Board memberFounderShareholder

Janis Alliksoo

26.11.1964 (59)

- - - Board member

Indrek Rentel

06.03.1970 (54)

- - - Board member

Related companies

Owner Representative Beneficial owner Roles

AS Muuga Betoonelement

11231808

30% - 7 668.00 EUR - - FounderShareholder

aktsiaselts EHITUSFIRMA RAND JA TUULBERG

10086190

82% - 66 200.40 EUR - - Shareholder

AS HEARUM

10300192

100% - 25 564.00 EUR - - Shareholder

WELEMENT AS

12892498

90% - 22 400.00 EUR - - FounderShareholder

AS RTG PROJEKTBÜROO

10385231

45% - 11 520.00 EUR - - Shareholder

aktsiaselts "COLUMBIA-KIVI"

10183036

80% - 1 052 896.00 EUR - - Shareholder

Financial info

2019
18.08.2020
2020
12.07.2021
2021
14.07.2022
2022
07.07.2023
Total Revenue 66 544 372 € 56 418 568 € 44 031 695 € 445 550 €
Net profit (loss) for the period 2 033 597 € 1 430 299 € 476 372 € -112 767 €
Profit Margin 3% 3% 1% -25%
Current Assets 24 649 806 € 14 834 063 € 17 488 969 € 23 544 061 €
Fixed Assets 17 823 617 € 20 456 387 € 21 421 369 € 5 689 319 €
Total Assets 42 473 423 € 35 290 450 € 38 910 338 € 5 818 142 €
Current Liabilities 22 451 415 € 10 037 902 € 13 422 953 € 17 005 044 €
Non Current Liabilities 4 081 885 € 9 126 661 € 9 263 225 € 5 267 980 €
Total Liabilities 26 533 300 € 19 164 563 € 22 686 178 € 22 273 024 €
Share Capital 198 090 € 198 090 € 198 090 € 198 090 €
Equity 15 940 123 € 16 125 887 € 16 224 160 € 18 260 018 €
Employees 211 198 191 225

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 118 324.98 € 38 545.99 € 21 242.99 € 4
2023 Q4 118 324.98 € 64 414.94 € 39 658.94 € 4
2023 Q3 118 324.98 € 38 950.37 € 23 535.2 € 5
2023 Q2 118 324.98 € 37 800.84 € 23 263.14 € 5
2023 Q1 118 324.98 € 47 960.07 € 25 718.97 € 5
2022 Q4 125 274.98 € 38 232.62 € 20 553.21 € 5
2022 Q3 109 999.98 € 53 422.19 € 32 556.07 € 4
2022 Q2 109 999.98 € 35 677.62 € 18 618.13 € 4
2022 Q1 109 999.98 € 36 383.61 € 19 578.91 € 4
2021 Q4 110 034.98 € 39 876.23 € 19 927.25 € 4
2021 Q3 110 027.98 € 35 977.24 € 26 619.72 € 5
2021 Q2 111 343.28 € 37 034.65 € 20 088.04 € 5
2021 Q1 110 825.98 € 38 405.64 € 21 541.35 € 6
2020 Q4 110 772.22 € 35 566.19 € 19 374.13 € 6
2020 Q3 109 999.98 € 44 981.69 € 25 002.26 € 6
2020 Q2 109 999.98 € 34 258.48 € 18 704.28 € 5
2020 Q1 109 999.98 € 44 500.1 € 25 890.95 € 5