aktsiaselts TARTU EHITUS

10243382

General info

Name

aktsiaselts TARTU EHITUS

Registry code

10243382

VAT number

EE100010945

Type

AS - Joint Stock Company

Status

Registered

Foundation date

07.08.1997 (27)

Financial year

01.01-31.12

Capital

32 320.00 €

Activity

71129 - Other engineering-technical activities 68201 - Rental and operating of own or leased real estate 46131 - Agents involved in the sale of timber and building materials 77111 - Rental and leasing of cars and light motor vehicles 68329 - Other real estate management or related activities 41201 - Construction of residential and non-residential buildings

Revenue

35 675 492 €

Profit

4 133 123 €

Profit margin

12%

Gross salary

2 943 €

(estimate is approximate)

Equity

6 780 588 €

Employees

33

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

61%

Return on assets

28%

Related parties

Owner Representative Beneficial owner Roles

Tevara Holding OÜ

16583110

12% - 3 718.40 EUR - - Shareholder

Virge Hansen

24.03.1973 (51)

10% - 3 232.00 EUR - Direct ownership Shareholder

Alar Loo

30.05.1984 (40)

39% - 12 684.80 EUR Board member Direct ownership Shareholder

Indrek Kann

16.07.1975 (49)

39% - 12 684.80 EUR Board member Direct ownership Shareholder

Aado Kivi

25.03.1949 (75)

- - Indirect ownership Board member

Ilona Kann

08.09.2000 (24)

- - - Board member

Janne Loo

30.04.1989 (35)

- - - Board member

Related companies

Owner Representative Beneficial owner Roles

Tera Ehitus OÜ

11993524

55% - 1 375.00 EUR - -

TeBen OÜ

16202131

- - - Founder

TEVENT OÜ

10300111

- - - Founder

Financial info

2019
22.05.2020
2020
26.04.2021
2021
22.06.2022
2022
30.06.2023
2023
30.06.2024
Total Revenue 16 044 411 € 15 097 051 € 14 469 623 € 27 632 410 € 35 675 492 €
Net profit (loss) for the period 577 137 € 666 153 € 54 897 € 1 434 067 € 4 133 123 €
Profit Margin 4% 4% 0% 5% 12%
Current Assets 4 802 860 € 4 309 727 € 2 705 603 € 8 333 219 € 12 521 604 €
Fixed Assets 616 990 € 644 794 € 1 483 427 € 697 360 € 2 141 889 €
Total Assets 5 419 850 € 4 954 521 € 4 189 030 € 9 030 579 € 14 663 493 €
Current Liabilities 3 464 891 € 2 286 216 € 1 668 941 € 5 911 856 € 7 155 809 €
Non Current Liabilities 465 978 € 513 171 € 417 058 € 471 258 € 727 096 €
Total Liabilities 3 930 869 € 2 799 387 € 2 085 999 € 6 383 114 € 7 882 905 €
Share Capital 32 320 € 32 320 € 32 320 € 32 320 € 32 320 €
Equity 1 488 981 € 2 155 134 € 2 103 031 € 2 647 465 € 6 780 588 €
Employees 21 20 21 27 33

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 8 552 269.11 € 539 439.96 € 130 702 € 27
2023 Q4 7 670 890.7 € 292 458.11 € 132 238.48 € 28
2023 Q3 7 441 743.79 € 437 776.66 € 120 494.85 € 29
2023 Q2 6 985 959.75 € 298 899.59 € 112 736.19 € 27
2023 Q1 6 500 188.3 € 244 094.45 € 107 327.8 € 25
2022 Q4 9 989 107.47 € 424 169.78 € 88 406.38 € 23
2022 Q3 6 905 650.56 € 279 635.64 € 93 448.79 € 21
2022 Q2 8 196 676.33 € 350 842.85 € 98 821.13 € 22
2022 Q1 3 400 813.53 € 82 796.36 € 89 077.04 € 25
2021 Q4 3 793 532.39 € 212 430.26 € 77 969.87 € 25
2021 Q3 4 327 693.19 € 116 933.46 € 79 631.46 € 23
2021 Q2 3 274 640.87 € 89 616.97 € 78 532.83 € 21
2021 Q1 2 934 053.43 € 126 920.07 € 72 248.39 € 21
2020 Q4 3 442 924.78 € 151 275.24 € 69 528.92 € 21
2020 Q3 3 546 481.62 € 203 913.43 € 68 960.17 € 20
2020 Q2 4 039 491.88 € 164 883.45 € 68 178.53 € 21
2020 Q1 4 436 905.07 € 163 989.34 € 72 879.32 € 23