OÜ SLG Energy

11023487

Company info

OÜ SLG Energy

11023487

SLG Energy - Avaleht - SLGEnergyhttps://www.slgenergy.eeSLG Energy - Avaleht - SLGEnergy

SLG Energy tegeleb hakkepuidu varumise ja tootmisega. Hakkepuidu toormaterjali kokkuost, hakkepuidu transport, puidu hakkimine mobiilse puiduhakkuriga, mulla sõelumine, veokite ja haagiste remont, liikuvpõrandaga poolhaagiste rent.

General info

Name

OÜ SLG Energy

Registry code

11023487

VAT number

EE100889286

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

26.03.2004 (20)

Financial year

01.10-30.09

Capital

91 424.00 €

Activity

16109 - Manufacture of other wood treatment articles, inc chips, particles, wood wool etc 49411 - Freight transport by road

Revenue

7 932 037 €

Profit

1 111 427 €

Profit margin

14%

Gross salary

-

Equity

2 631 765 €

Employees

25

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

42%

Return on assets

18%

Related parties

Owner Representative Beneficial owner Roles

Paris Holding OÜ

11328436

4% - 3 989.00 EUR - -

Sardel Invest OÜ

14797309

27% - 24 932.00 EUR - -

OÜ City Capital

10616191

27% - 24 226.00 EUR - -

Estview Holding OÜ

12550183

25% - 23 136.00 EUR - -

PT Holding UÜ

14492722

17% - 15 141.00 EUR - -

Janar Eelmaa

28.04.1981 (43)

- Board member Indirect ownership

Jan Peitre

17.12.1988 (35)

- Board member -

Aigar Ojaots

26.02.1974 (50)

- - Indirect ownership Board member

Heiti Elster

19.06.1976 (48)

- - Indirect ownership Board member

Henri Pihel

11.04.1988 (36)

- - Indirect ownership Board member

Ivo Elster

21.11.1981 (43)

- - Indirect ownership Chairman of the board

Omanikukonto: KALEV TEESALU

05.04.1968 (56)

- - - Founder

Related companies

Owner Representative Beneficial owner Roles

OÜ TMK Energy Lõuna

11980154

- - - Founder

Osaühing Green Energy

11126968

- - - Founder

Financial info

2019
27.02.2020
2020
19.02.2021
2021
25.01.2022
2022
27.03.2023
2023
12.02.2024
Total Revenue 3 059 098 € 4 270 226 € 4 703 616 € 5 699 926 € 7 932 037 €
Net profit (loss) for the period -3 222 € -66 956 € 154 043 € 486 073 € 1 111 427 €
Profit Margin -0% -2% 3% 9% 14%
Current Assets 1 324 495 € 1 553 063 € 1 633 540 € 1 952 264 € 2 711 494 €
Fixed Assets 1 659 158 € 1 932 732 € 1 871 656 € 2 378 894 € 3 608 248 €
Total Assets 2 983 653 € 3 485 795 € 3 505 196 € 4 331 158 € 6 319 742 €
Current Liabilities 538 710 € 593 810 € 665 569 € 1 604 949 € 1 469 662 €
Non Current Liabilities 1 603 566 € 2 011 453 € 1 805 052 € 1 205 561 € 2 218 315 €
Total Liabilities 2 142 276 € 2 605 263 € 2 470 621 € 2 810 510 € 3 687 977 €
Share Capital - - - - -
Equity 841 377 € 880 532 € 1 034 575 € 1 520 648 € 2 631 765 €
Employees 26 26 20 23 25

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 2 792 300.18 € 288 776.67 € 106 165.29 € 23
2023 Q4 2 096 497.25 € 145 652.27 € 98 814.15 € 23
2023 Q3 1 031 503.76 € 21 736.84 € 104 746.04 € 23
2023 Q2 2 445 923.02 € 236 779.52 € 102 308.1 € 24
2023 Q1 2 836 002.83 € 187 546.91 € 106 035.32 € 24
2022 Q4 2 013 877.56 € 41 534.53 € 94 530.98 € 24
2022 Q3 1 334 173.98 € 124 976.19 € 90 866.56 € 23
2022 Q2 1 785 469.67 € 98 550.76 € 83 741.79 € 23
2022 Q1 1 490 819.97 € 119 321.66 € 81 165.33 € 22
2021 Q4 1 283 866.07 € 165 015.89 € 76 194.01 € 22
2021 Q3 1 051 282.12 € 64 413.02 € 73 215.24 € 20
2021 Q2 1 395 621.06 € 152 710.45 € 69 316.71 € 19
2021 Q1 1 486 197.33 € 187 424.52 € 70 762.43 € 20
2020 Q4 1 302 923.99 € 133 348.77 € 74 200.79 € 21
2020 Q3 667 255.72 € 77 137.79 € 79 066.52 € 23
2020 Q2 1 259 126.06 € 144 689.18 € 95 089.29 € 25
2020 Q1 1 349 711.37 € 103 559.41 € 83 253.71 € 28