AS KAR-GRUPP

10418077

Company info

AS KAR-GRUPP

10418077

KAR-Grupp AShttp://www.kar.eeKAR-Grupp AS

Copyright © 2014 KAR-Grupp AS. Kujundatud  Weebly  tarkvara abil. 

General info

Name

AS KAR-GRUPP

Registry code

10418077

VAT number

EE100361526

Type

AS - Joint Stock Company

Status

Registered

Foundation date

23.03.1998 (26)

Financial year

01.01-31.12

Capital

25 200.00 €

Activity

4399 - Other specialised construction activities n.e.c.

Revenue

673 590 €

Profit

67 988 €

Profit margin

10%

Gross salary

1 622 €

(estimate is approximate)

Equity

304 254 €

Employees

16

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

22%

Return on assets

14%

Related parties

Owner Representative Beneficial owner Roles

Ruth Tuvike

18.01.1951 (73)

25% - 6 300.00 EUR Board member Member of a higher management body, i.e. board member or supervisory board member Shareholder

Eino Jööts

24.03.1958 (66)

25% - 6 300.00 EUR - Member of a higher management body, i.e. board member or supervisory board member Board memberShareholder

Raivo Saarmets

16.08.1948 (76)

25% - 6 300.00 EUR - Member of a higher management body, i.e. board member or supervisory board member Board memberShareholder

Toivo Vallimaa

12.08.1964 (60)

25% - 6 300.00 EUR - Member of a higher management body, i.e. board member or supervisory board member Board memberShareholder

Related companies

Owner Representative Beneficial owner Roles

OÜ CROSSNET SYSTEMS

10870564

33% - 30 000.00 EEK - -

Dekomet OÜ

12190566

100% - 2 502.00 EUR - - Founder

Financial info

2019
28.10.2020
2020
10.05.2021
2021
04.01.2023
2022
07.07.2023
2023
21.06.2024
Total Revenue 723 519 € 636 770 € 792 136 € 551 087 € 673 590 €
Net profit (loss) for the period 2 971 € 5 076 € 13 479 € -46 108 € 67 988 €
Profit Margin 0% 1% 2% -8% 10%
Current Assets 130 992 € 140 034 € 82 381 € 64 588 € 194 903 €
Fixed Assets 383 624 € 413 654 € 324 351 € 287 814 € 297 149 €
Total Assets 514 616 € 553 688 € 406 732 € 352 402 € 492 052 €
Current Liabilities 90 797 € 113 083 € 115 535 € 110 269 € 168 783 €
Non Current Liabilities - 11 710 € 8 823 € 5 867 € 19 015 €
Total Liabilities - 124 793 € 124 358 € 116 136 € 187 798 €
Share Capital 25 200 € 25 200 € 25 200 € 25 200 € 25 200 €
Equity 423 819 € 428 895 € 282 374 € 236 266 € 304 254 €
Employees 16 18 17 16 16

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 151 741.74 € 64 788.54 € 41 206.71 € 16
2023 Q4 256 246.77 € 75 695.32 € 38 959.21 € 17
2023 Q3 187 427.77 € 58 014.81 € 37 529.82 € 17
2023 Q2 142 124.17 € 62 376.69 € 40 972.04 € 17
2023 Q1 130 075.09 € 55 111.82 € 37 963.1 € 18
2022 Q4 142 803.45 € 51 567.86 € 35 736.37 € 17
2022 Q3 194 973.61 € 58 655.15 € 37 899.78 € 18
2022 Q2 139 255.14 € 52 784.72 € 33 430.15 € 17
2022 Q1 73 317.78 € 42 865.17 € 34 467.15 € 19
2021 Q4 123 423.14 € 52 083.1 € 37 587.68 € 19
2021 Q3 360 507.96 € 63 809.35 € 43 134.48 € 19
2021 Q2 245 384.88 € 59 292.44 € 26 279.46 € 20
2021 Q1 103 089.73 € 55 110.27 € 44 972.77 € 20
2020 Q4 202 498.55 € 62 321.11 € 41 124.57 € 20
2020 Q3 154 577.15 € 57 891.08 € 38 960.4 € 20
2020 Q2 135 374.68 € 37 702.15 € 27 496.14 € 20
2020 Q1 144 844.33 € 46 543 € 39 334.47 € 20