Gren Tartu AS

10641763

Company info

Gren Tartu AS

10641763

Rohelise energia ettevote - Gren Eestihttps://gren.com/eeRohelise energia ettevote - Gren Eesti

Põhja-Euroopas tegutsev energiatarnija Gren arendab ja pakub roheenergia lahendusi alates säästvast kaugküttest ja -jahutusest kuni taastuv- ja tööstusenergia teenusteni. Me tegutseme jätkusuutlike äride, paremate linnade ja parema elukvaliteedi nimel.

General info

Name

Gren Tartu AS

Registry code

10641763

VAT number

EE100660269

Type

AS - Joint Stock Company

Status

Registered

Foundation date

07.02.2000 (24)

Financial year

01.01-31.12

Capital

6 415 560.00 €

Activity

35301 - Steam and air conditioning supply 35119 - Other electricity production (including from biomass) 35131 - Distribution of electricity 68201 - Rental and operating of own or leased real estate

Revenue

71 784 136 €

Profit

22 520 336 €

Profit margin

31%

Gross salary

3 532 €

(estimate is approximate)

Equity

148 583 432 €

Employees

65

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

15%

Return on assets

13%

Related parties

Owner Representative Beneficial owner Roles

Margo Külaots

01.07.1972 (52)

- Board member Member of a higher management body, i.e. board member or supervisory board member

Reena Kangur

08.03.1984 (40)

- - - Board member

Urmo Heinam

15.03.1983 (41)

- - - Board member

Related companies

Owner Representative Beneficial owner Roles

Gren Viru AS

10160791

100% - 2 200 000.00 EUR - - Shareholder

Financial info

2019
02.11.2020
2020
21.10.2021
2021
21.06.2022
2022
21.06.2023
2023
30.06.2024
Total Revenue 32 988 203 € 29 924 785 € 43 800 890 € 58 345 073 € 71 784 136 €
Net profit (loss) for the period - - 11 239 792 € 11 640 301 € 22 520 336 €
Profit Margin - - 26% 20% 31%
Current Assets - - 22 913 125 € 30 501 768 € 21 687 745 €
Fixed Assets - - 102 983 211 € 149 106 011 € 150 609 195 €
Total Assets 124 745 653 € 123 117 184 € 125 896 336 € 179 607 779 € 172 296 940 €
Current Liabilities - - 8 080 550 € 14 296 849 € 7 323 458 €
Non Current Liabilities - - 5 535 506 € 35 956 225 € 16 390 050 €
Total Liabilities - - 13 616 056 € 50 253 074 € 23 713 508 €
Share Capital - - 6 415 560 € 6 415 560 € 6 415 560 €
Equity - - 112 280 280 € 129 354 705 € 148 583 432 €
Employees 68 67 64 63 65

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 24 472 244.01 € 2 600 949.68 € 318 762.76 € 63
2023 Q4 16 468 118.75 € 1 949 882.5 € 310 040.74 € 63
2023 Q3 8 447 786.98 € 828 859.3 € 366 761.53 € 64
2023 Q2 15 901 543.09 € 1 623 419.85 € 471 774.65 € 67
2023 Q1 30 096 967.12 € 1 690 369.2 € 329 262.08 € 65
2022 Q4 17 946 113.06 € 947 835.11 € 307 764.81 € 64
2022 Q3 13 295 943.64 € 974 451.43 € 200 020.84 € 62
2022 Q2 4 713 747.38 € 364 523.51 € 78 932.73 € 6
2022 Q1 370 177.19 € 93 402.58 € 63 456.98 € 5
2021 Q4 241 448 € 81 374.08 € 59 225.38 € 5
2021 Q3 400 722.77 € 96 181.87 € 73 027.98 € 5
2021 Q2 406 762.83 € 80 493.07 € 55 694.41 € 6
2021 Q1 266 495.57 € 71 048.96 € 48 137.33 € 9
2020 Q4 342 875 € 71 489.5 € 45 166.2 € 9
2020 Q3 287 473 € 392 337.96 € 50 530.75 € 9
2020 Q2 194 198 € 82 258.87 € 54 853.84 € 9
2020 Q1 217 471 € 74 189.37 € 45 881.73 € 9