Name
OÜ KEMEHH
Registry code
10168611
VAT number
EE100455296
Type
OÜ - Limited Liability Company
Status
Registered
Foundation date
27.01.1997 (27)
Financial year
01.01-31.12
Capital
26 764.00 €
Activity
42221 - Construction of utility projects for electricity and telecommunications 49411 - Freight transport by road 42211 - Construction of utility projects for fluids 33121 - Repair of machinery 43122 - Drainage work and amelioration on construction sites, including drainage of agricultural or forestry land
664 111 €
69 317 €
10%
1 303 €
(estimate is approximate)
567 675 €
10
Submitted
No tax arrears
12%
10%
Owner | Representative | Beneficial owner | Roles | |
---|---|---|---|---|
Kalle Kuuse 30.01.1965 (59) | 4% - 950.00 EUR | - | - | |
Riina Mäe 23.01.1968 (56) | 4% - 950.00 EUR | - | - | |
Kunnar Teemets 08.08.1952 (72) | 14% - 3 857.00 EUR | Board member | Direct ownership | |
Harry Grahv 03.04.1948 (76) | 14% - 3 857.00 EUR | - | - | |
Väino Kruusmägi 02.01.1949 (75) | 14% - 3 857.00 EUR | - | - | |
Sirje Teemets 18.12.1952 (71) | 14% - 3 857.00 EUR | - | - | |
Merje Leis 15.10.1983 (41) | 14% - 3 800.00 EUR | - | - | |
Õilme Võsa 26.12.1945 (78) | 9% - 2 508.00 EUR | - | - | |
Everin Padari 01.03.1995 (29) | 4% - 1 000.00 EUR | - | - | |
Inar Padari 16.02.1993 (31) | 4% - 1 000.00 EUR | - | - | |
Rasmus Padari 09.05.2003 (21) | 4% - 1 000.00 EUR | - | - | |
Hanno Voole 23.07.1971 (53) | - | Board member | - | |
Tõnis Teemets 31.03.1978 (46) | - | Board member | - |
2019 01.07.2020 | 2020 28.06.2021 | 2021 28.06.2022 | 2022 29.05.2023 | 2023 25.04.2024 | |
---|---|---|---|---|---|
Total Revenue | 534 301 € | 587 542 € | 749 975 € | 732 875 € | 664 111 € |
Net profit (loss) for the period | 50 520 € | 34 218 € | 108 807 € | 78 946 € | 69 317 € |
Profit Margin | 9% | 6% | 15% | 11% | 10% |
Current Assets | 255 641 € | 205 032 € | 287 796 € | 316 043 € | 341 880 € |
Fixed Assets | 149 097 € | 256 007 € | 246 650 € | 321 686 € | 362 080 € |
Total Assets | 404 738 € | 461 039 € | 534 446 € | 637 729 € | 703 960 € |
Current Liabilities | 86 521 € | 75 213 € | 76 010 € | 93 893 € | 62 570 € |
Non Current Liabilities | 41 829 € | 75 220 € | 39 023 € | 45 477 € | 73 715 € |
Total Liabilities | 128 350 € | 150 433 € | 115 033 € | 139 370 € | 136 285 € |
Share Capital | - | - | - | - | - |
Equity | 276 388 € | 310 606 € | 419 413 € | 498 359 € | 567 675 € |
Employees | 13 | 10 | 11 | 10 | 10 |
Turnover | State taxes | Labor taxes and payments | Employees | |
---|---|---|---|---|
2024 Q1 | 104 591.72 € | 27 143.99 € | 21 043.71 € | 12 |
2023 Q4 | 192 305.99 € | 38 899.75 € | 19 528.83 € | 12 |
2023 Q3 | 181 021.4 € | 36 146.53 € | 20 768.73 € | 13 |
2023 Q2 | 157 961.43 € | 34 059.47 € | 17 595.71 € | 13 |
2023 Q1 | 146 292.73 € | 31 300.98 € | 19 320.53 € | 13 |
2022 Q4 | 196 360.05 € | 43 357.59 € | 19 773.82 € | 12 |
2022 Q3 | 253 892.87 € | 50 789.9 € | 22 577.74 € | 14 |
2022 Q2 | 202 995.49 € | 24 865.71 € | 16 381.27 € | 13 |
2022 Q1 | 46 754.61 € | 17 342.03 € | 18 232.4 € | 13 |
2021 Q4 | 235 196.73 € | 38 653.27 € | 21 019.68 € | 15 |
2021 Q3 | 282 474.06 € | 53 492.79 € | 18 454.07 € | 15 |
2021 Q2 | 165 475.8 € | 28 077.84 € | 15 255.4 € | 13 |
2021 Q1 | 99 940.7 € | 24 046.75 € | 14 873.84 € | 12 |
2020 Q4 | 265 254.32 € | 39 143.27 € | 15 526.43 € | 13 |
2020 Q3 | 161 059.37 € | 28 333.74 € | 15 594.99 € | 13 |
2020 Q2 | 177 179.71 € | 22 354.29 € | 13 259.47 € | 13 |
2020 Q1 | 134 026.03 € | 25 739.2 € | 15 180.82 € | 13 |