OÜ Hades Geodeesia

10570307

Company info

OÜ Hades Geodeesia

10570307

Hades Geodeesiahttps://hades.eeHades Geodeesia

teenusedPAKUTAVAD TEENUSEDEHITUSGEODEESIAProfessionaalne ehitusgeodeesia ja ehitusmõõdistamine Eestis. Täpsed mõõtmised ja usaldusväärsed geodeetilised teenused ehitusprojektide edukaks läbiviimiseks.Loe lähemaltGEODEETILINE ALUSPLAANGeodeetiline alusplaan kujutab endas mõõdistatud maa-ala kaarti, mis edastab maapealse asendiplaanilise situatsiooni koos tehnovõrkude paiknemisega.Loe lähemaltBIM KOORDINEERIMINEMudelprojekteerimise koordineerimine. Meie roll on olla projekteerimise/ehitamise projektijuhi…

General info

Name

OÜ Hades Geodeesia

Registry code

10570307

VAT number

EE100555536

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

14.07.1999 (25)

Financial year

01.01-31.12

Capital

3 832.00 €

Activity

71122 - Construction geological and geodetic research

Revenue

1 063 635 €

Profit

-122 143 €

Profit margin

-11%

Gross salary

1 234 €

(estimate is approximate)

Equity

16 189 €

Employees

33

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-754%

Return on assets

-20%

Related parties

Owner Representative Beneficial owner Roles

Tiit Hion

06.08.1962 (62)

11% - 426.00 EUR Board member Direct ownership

Kristjan Kirotam

08.06.1988 (36)

11% - 426.00 EUR - -

OÜ Hades Geodeesia

10570307

7% - 255.00 EUR - -

Osaühing Hades-Invest

10262008

42% - 1 621.00 EUR - -

Vaiko Veeleid

21.07.1983 (41)

29% - 1 104.00 EUR Board member Direct ownership

Madis Mölla

01.10.1970 (54)

- Board member Direct ownership

Tiiu Kütt

23.07.1940 (84)

- - Indirect ownership

Larssen Legal OÜ

10167445

- - - Founder

Related companies

Owner Representative Beneficial owner Roles

OÜ Hades Geodeesia

10570307

7% - 255.00 EUR - -

MTÜ Digitaalehitus

80387543

- - - Founder (without contribution)

Financial info

2019
19.10.2020
2020
01.07.2021
2021
17.06.2022
2022
29.06.2023
2023
21.06.2024
Total Revenue 838 184 € 873 086 € 988 901 € 1 174 151 € 1 063 635 €
Net profit (loss) for the period -4 044 € -10 086 € 10 825 € -48 532 € -122 143 €
Profit Margin -0% -1% 1% -4% -11%
Current Assets 129 684 € 166 177 € 211 696 € 182 890 € 193 993 €
Fixed Assets 329 154 € 248 037 € 485 100 € 377 712 € 404 153 €
Total Assets 458 838 € 414 214 € 696 796 € 560 602 € 598 146 €
Current Liabilities 230 335 € 221 732 € 332 988 € 300 593 € 471 112 €
Non Current Liabilities 43 265 € 17 330 € 177 974 € 122 748 € 110 845 €
Total Liabilities 273 600 € 239 062 € 510 962 € 423 341 € 581 957 €
Share Capital - - - - -
Equity 185 238 € 175 152 € 185 834 € 137 261 € 16 189 €
Employees 27 26 33 33 33

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 223 160.98 € 90 481.24 € 63 053.03 € 33
2023 Q4 285 633.89 € 98 777.32 € 65 851.13 € 31
2023 Q3 282 658.5 € 103 667.58 € 64 189.08 € 34
2023 Q2 289 059.75 € 78 901.39 € 55 047.51 € 33
2023 Q1 193 918.3 € 81 293.15 € 62 234.37 € 31
2022 Q4 371 771.18 € 104 940.5 € 66 641.11 € 32
2022 Q3 297 709.2 € 98 210.06 € 60 075.29 € 33
2022 Q2 298 089.72 € 105 800.45 € 52 304.77 € 33
2022 Q1 205 085.7 € 71 548.84 € 55 666.13 € 33
2021 Q4 278 162.59 € 86 259.21 € 54 762.17 € 34
2021 Q3 308 728.53 € 89 852.1 € 55 375.56 € 29
2021 Q2 326 016.84 € 66 718.59 € 43 270.8 € 32
2021 Q1 173 796.8 € 58 174.41 € 44 910.42 € 28
2020 Q4 253 300.64 € 79 029.85 € 46 968.53 € 28
2020 Q3 235 404.5 € 81 206.57 € 48 662.74 € 28
2020 Q2 177 123 € 65 339.23 € 44 885.33 € 29
2020 Q1 172 402.98 € 61 926.38 € 46 619.82 € 27