Kaamos Group OÜ

10886418

General info

Name

Kaamos Group OÜ

Registry code

10886418

VAT number

EE101442554

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

12.08.2002 (22)

Financial year

01.01-31.12

Capital

8 654.00 €

Activity

70221 - Business and other management consultancy activities

Revenue

70 837 650 €

Profit

1 583 744 €

Profit margin

2%

Gross salary

1 655 €

(estimate is approximate)

Equity

136 852 244 €

Employees

314

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

1%

Return on assets

1%

Related parties

Owner Representative Beneficial owner Roles

Kaamos Holding OÜ

14208750

98% - 8 448.00 EUR - -

Kaido Jõeleht

21.01.1953 (71)

0% - 8.00 EUR - Indirect ownership FounderChairman of the board

Peeter Aruvald

28.12.1974 (49)

1% - 63.00 EUR Board member -

Marek Pohla

09.01.1980 (44)

2% - 135.00 EUR Board member -

Juulika Vahter

20.07.1977 (47)

- - - Board member

Mari Verrev

07.08.1980 (44)

- - - Board member

Teele Jõeleht

14.04.1989 (35)

- - - Board member

Related companies

Owner Representative Beneficial owner Roles

OÜ Tahku Invest

10923734

11% - 9 500.00 EEK - - Founder

Aktsiaselts Kaamos Kinnisvara

10886401

94% - 33 266.80 EUR - - Shareholder

Kaamos Energy OÜ

11695726

100% - 2 560.00 EUR - - Founder

Woodbakers2023 OÜ

16879603

- - - Founder

Vahtramäe Kodud OÜ

12185826

- - - Founder

Woodbakers AS

10965224

- - - Founder

ECOBIRCH AS

10899065

- - - Founder

Financial info

2019
17.06.2020
2020
25.06.2021
2021
30.06.2022
2022
30.06.2023
2023
30.06.2024
Total Revenue 68 117 086 € 74 073 563 € 92 421 041 € 1 123 251 € 70 837 650 €
Net profit (loss) for the period 10 173 979 € 12 289 772 € 25 507 333 € -512 106 € 1 583 744 €
Profit Margin 15% 17% 28% -46% 2%
Current Assets 48 154 161 € 56 421 855 € 68 799 356 € 95 774 070 € 79 163 056 €
Fixed Assets 125 757 081 € 150 268 895 € 178 536 010 € 14 138 450 € 179 576 125 €
Total Assets 173 911 242 € 206 690 750 € 247 335 366 € 20 666 220 € 258 739 181 €
Current Liabilities 39 334 023 € 20 131 398 € 22 024 156 € 58 841 523 € 37 136 651 €
Non Current Liabilities 26 683 760 € 69 594 555 € 85 331 494 € 7 435 589 € 84 750 286 €
Total Liabilities 66 017 783 € 89 725 953 € 107 355 650 € 66 277 112 € 121 886 937 €
Share Capital - - - - -
Equity 107 893 459 € 116 964 797 € 139 979 716 € 164 233 690 € 136 852 244 €
Employees 293 313 359 340 314

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 539 932.84 € 264 798.4 € 174 830.99 € 12
2023 Q4 461 411.69 € 293 281.85 € 153 846.35 € 12
2023 Q3 14 015.61 € 294 522.87 € 174 732.96 € 13
2023 Q2 9 678 € 204 306.98 € 128 233.76 € 13
2023 Q1 7 716.04 € 232 197.27 € 133 175.66 € 12
2022 Q4 10 028.18 € 161 179.04 € 107 295.91 € 10
2022 Q3 36 600 € 214 594.31 € 147 005.23 € 10
2022 Q2 6 930 € 207 578.1 € 105 775.52 € 10
2022 Q1 33 371.67 € 284 331.38 € 148 853.45 € 10
2021 Q4 -1 415 € 342 304.14 € 77 990.18 € 9
2021 Q3 15 930 € 247 523.6 € 127 744.74 € 9
2021 Q2 16 020 € 237 813.8 € 79 273.9 € 9
2021 Q1 40 037.7 € 117 857.38 € 82 869.2 € 12
2020 Q4 20 503.11 € 231 240.76 € 76 967.24 € 11
2020 Q3 30 102.5 € 158 935.81 € 97 425.22 € 13
2020 Q2 145 296.69 € 97 182.94 € 80 932.12 € 13
2020 Q1 38 991.02 € 142 354.19 € 79 659.04 € 12