osaühing Harmet

10282927

General info

Name

osaühing Harmet

Registry code

10282927

VAT number

EE100435656

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

08.10.1997 (27)

Financial year

01.01-31.12

Capital

28 454.00 €

Activity

41201 - Construction of residential and non-residential buildings 68201 - Rental and operating of own or leased real estate 16232 - Manufacture of prefabricated wooden buildings (e.g. saunas, summerhouses, houses) or elements thereof 43299 - Other construction installation n.e.c.

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

Barex Partners osaühing

10885889

20% - 5 691.00 EUR - -

Hanstep OÜ

11158856

10% - 2 845.00 EUR - -

Osaühing Rosier Team

10749874

70% - 19 918.00 EUR - -

Alo Tamm

30.08.1976 (48)

- Board member Direct ownership

Ivar Valdmaa

10.02.1964 (60)

- Board member Indirect ownership

Toomas Kalev

26.08.1971 (53)

- Board member Indirect ownership

Toomas Linamäe

29.06.1965 (59)

- Board member Indirect ownership

Related companies

Owner Representative Beneficial owner Roles

ATH Trade OÜ

12722431

33% - 825.00 EUR - - Founder

THORN Engineering OÜ

14591909

100% - 2 500.00 EUR - - Founder

Harmet Finland OÜ

14989150

90% - 2 250.00 EUR - - Founder

OÜ Harmet Metall

14245082

90% - 2 250.00 EUR - - Founder

Harmet Bathroom OÜ

12715224

80% - 2 240.00 EUR - -

Electrical engineering OÜ

16447045

85% - 2 125.00 EUR - - Founder

OÜ Harmet Modular Building

14110643

80% - 2 000.00 EUR - - Founder

Harmet Prefab OÜ

14938847

77% - 1 936.00 EUR - -

369RING OÜ

16400670

75% - 1 875.00 EUR - - Founder

EaHa Nordic Construction OÜ

12783987

- - - Founder

Financial info

2019
19.10.2020
2020
30.06.2021
2021
27.08.2022
2022
10.07.2023
Total Revenue 96 910 027 € 82 942 672 € 80 125 001 € 139 815 286 €
Net profit (loss) for the period 2 341 659 € 580 796 € -4 267 123 € 1 532 812 €
Profit Margin 2% 1% -5% 1%
Current Assets 27 136 988 € 32 075 623 € 37 140 144 € 56 853 117 €
Fixed Assets 6 487 825 € 5 274 260 € 5 129 903 € 4 950 128 €
Total Assets 33 624 813 € 37 349 883 € 42 270 047 € 61 803 245 €
Current Liabilities 12 167 797 € 15 670 487 € 25 365 973 € 43 246 736 €
Non Current Liabilities 1 392 623 € 1 164 221 € 673 143 € 865 945 €
Total Liabilities 13 560 420 € 16 834 708 € 26 039 116 € 44 112 681 €
Share Capital - - - -
Equity 20 064 393 € 20 515 175 € 16 230 931 € 17 690 564 €
Employees 718 753 712 819

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 2 109 342.25 € 1 198 784.04 € 1 240 440.64 € 283
2023 Q4 5 298 002.84 € 1 533 710.91 € 1 607 100.08 € 301
2023 Q3 6 849 354.96 € 1 357 423.64 € 1 438 465.1 € 425
2023 Q2 30 938 067.41 € 436 253.22 € 2 039 378.62 € 502
2023 Q1 34 192 426.99 € 28 242.27 € 1 888 667.62 € 617
2022 Q4 35 230 942.9 € - 1 874 793.56 € 595
2022 Q3 30 189 026.49 € 418 061.2 € 1 732 621.18 € 577
2022 Q2 27 137 266.03 € - 1 661 432.42 € 560
2022 Q1 24 529 357.04 € 652 515.09 € 1 546 998.49 € 545
2021 Q4 17 155 578.77 € - 1 442 183.11 € 523
2021 Q3 14 473 662.13 € 584 437.69 € 1 459 262.51 € 483
2021 Q2 19 585 831.74 € 729 569.77 € 1 320 127.37 € 474
2021 Q1 10 503 634.94 € 990 467.63 € 1 311 158.23 € 457
2020 Q4 18 548 660.55 € 780 728.32 € 1 353 856.35 € 458
2020 Q3 15 467 058.46 € 669 628.04 € 1 157 298.68 € 492
2020 Q2 18 763 855.68 € - 1 090 325.37 € 523
2020 Q1 20 178 651.97 € 950 041.48 € 1 559 688 € 536