osaühing TAVT

10900963

Company info

osaühing TAVT

10900963

Avaleht | TAVThttps://tavt.eeAvaleht | TAVT

Ehitame teid ja teerajatisi. Teeme teehoiutöid. Meie eeliseks on paindlikkus töötada erinevas mahus projektidega. Seda toetab meie kõrge kvalifikatsioon, koostööpartnerid, moodne tehnikapark ja kogemus. Võta ühendust Tehtud tööd 20+ aastat kogemust Tipptasemel kvalifikatsioon ja tehnikapark 1000+ valminud tööd Meie teenused Teedeehitus Platside ehitus, asfalteerimine, teedeehitus. Uuri rohkem Teerajatised Sillad, viaduktid, tunnelid, torusillad, truubid. Uuri rohkem […]

General info

Name

osaühing TAVT

Registry code

10900963

VAT number

EE100824762

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

28.02.2003 (21)

Financial year

01.01-31.12

Capital

3 832.00 €

Activity

46131 - Agents involved in the sale of timber and building materials 42131 - Construction of bridges and tunnels 42111 - Construction of roads and motorways

Revenue

8 561 135 €

Profit

220 340 €

Profit margin

3%

Gross salary

2 211 €

(estimate is approximate)

Equity

3 102 921 €

Employees

37

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

7%

Return on assets

6%

Related parties

Owner Representative Beneficial owner Roles

Toivo Loos

06.04.1950 (74)

25% - 958.00 EUR Board member Direct ownership Founder

OÜ Jäääär

11407578

25% - 958.00 EUR - -

OÜ Possaad

11262708

25% - 958.00 EUR - -

OÜ Koobas

11539707

25% - 958.00 EUR - -

Arvo Supp

15.09.1955 (68)

- - Indirect ownership Founder

Ivar Sova

13.09.1980 (43)

- - Indirect ownership

Tõnu Rudi

17.08.1948 (76)

- - Indirect ownership

Kaare Sova

02.08.1981 (43)

- - - Founder

Financial info

2019
30.06.2020
2020
30.06.2021
2021
29.06.2022
2022
28.06.2023
2023
27.06.2024
Total Revenue 7 441 025 € 7 598 682 € 8 427 337 € 8 633 879 € 8 561 135 €
Net profit (loss) for the period 223 137 € 335 770 € 446 351 € -128 779 € 220 340 €
Profit Margin 3% 4% 5% -1% 3%
Current Assets 2 117 983 € 2 564 435 € 2 548 735 € 2 126 643 € 2 289 536 €
Fixed Assets 1 418 892 € 1 430 868 € 1 537 516 € 1 546 267 € 1 393 540 €
Total Assets 3 536 875 € 3 995 303 € 4 086 251 € 3 672 910 € 3 683 076 €
Current Liabilities 605 583 € 823 048 € 590 771 € 513 077 € 499 513 €
Non Current Liabilities 108 053 € 137 246 € 138 120 € 141 252 € 80 642 €
Total Liabilities 713 636 € 960 294 € 728 891 € 654 329 € 580 155 €
Share Capital - - - - -
Equity 2 823 239 € 3 035 009 € 3 357 360 € 3 018 581 € 3 102 921 €
Employees 44 43 44 40 37

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 776 011.03 € 276 348.76 € 140 055.07 € 26
2023 Q4 2 984 699.26 € 202 266.84 € 165 427 € 28
2023 Q3 3 683 646.57 € 372 912.12 € 160 722.77 € 36
2023 Q2 1 125 777.84 € 82 202.25 € 79 708.59 € 43
2023 Q1 577 349.51 € 207 798.76 € 105 616.16 € 29
2022 Q4 3 027 223.01 € 251 837.63 € 159 407.46 € 30
2022 Q3 3 287 442.73 € 251 315.87 € 156 264.69 € 41
2022 Q2 1 672 785.12 € 137 604.83 € 97 028.65 € 43
2022 Q1 841 953.81 € 267 594.8 € 151 631.97 € 39
2021 Q4 3 118 337.89 € 331 377.12 € 164 616.46 € 39
2021 Q3 3 274 290.08 € 307 021.15 € 162 372.19 € 51
2021 Q2 1 195 479.31 € 94 793.67 € 95 659.21 € 51
2021 Q1 1 003 755.23 € 241 044.71 € 139 079.43 € 34
2020 Q4 2 358 320.6 € 275 502.18 € 147 244.09 € 35
2020 Q3 2 543 775.95 € 252 320.45 € 160 226.22 € 48
2020 Q2 1 591 732.67 € 112 838.13 € 84 492.94 € 50
2020 Q1 852 611.71 € 187 965.26 € 122 814.41 € 35