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 lähemaltTOPO-GEODEETILINE ALUSPLAANGeodeetiline alusplaan kujutab endas mõõdistatud maa-ala kaarti, mis edastab maapealse asendiplaanilise situatsiooni koos tehnovõrkude paiknemisega.Loe lähemaltTEOSTUSMÕÕDISTUSTeostusmõõdistus on geodeetiline töö, mille käigus mõõdetakse ja dokumenteeritakse…

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