Varamaad Kinnisvara OÜ

11040066

Company info

Varamaad Kinnisvara OÜ

11040066

Esileht - Compakt Kinnisvarahttps://compakt.eeEsileht - Compakt Kinnisvara

Compakt Kinnisvara on 2004.a. asutatud ettevõte, mis tegeleb kinnisvara arendamise, vahendamise, varahalduse, haldamise, hooldamisega ning nõustamisega. Kuulume kontserni Tuule Grupp. Omades pikaajalisi kogemusi ja tugevaid teoreetilisi teadmisi nimetatud valdkondades on meie tegevuse eesmärgiks pakkuda oma klientidele kvaliteetseid ja kliendikeskseid lahendusi ning teenuseid. Oleme veendunud, et selles valdkonnas on kasutamata võimalusi ja palju arenguruumi.

General info

Name

Varamaad Kinnisvara OÜ

Registry code

11040066

VAT number

EE101219936

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

02.06.2004 (20)

Financial year

01.01-31.12

Capital

100 002.00 €

Activity

68201 - Rental and operating of own or leased real estate

Revenue

468 515 €

Profit

193 762 €

Profit margin

41%

Gross salary

-

Equity

4 208 394 €

Employees

0

Annual report

Submitted

Tax arrears 20.09.2023

21 285 €

Return on equity

5%

Return on assets

3%

Related parties

Owner Representative Beneficial owner Roles

aktsiaselts Holostovi Kinnisvarahaldus

10131720

67% - 66 668.00 EUR - -

Compakt Varahaldus Osaühing

10654642

33% - 33 334.00 EUR - -

Maik Teiv

29.08.1981 (43)

- Board member -

Vjatšeslav Leedo

21.05.1952 (72)

- - Indirect ownership

Hardi Reiter

30.05.1971 (53)

- - - Founder

Financial info

2019
30.10.2020
2020
12.01.2022
2021
30.06.2022
2022
26.07.2023
2023
28.06.2024
Total Revenue 318 727 € 273 830 € 336 607 € 446 158 € 468 515 €
Net profit (loss) for the period 313 713 € 141 445 € 90 497 € 1 024 752 € 193 762 €
Profit Margin 98% 52% 27% 230% 41%
Current Assets 240 163 € 263 530 € 312 125 € 417 224 € 497 751 €
Fixed Assets 6 263 276 € 5 890 539 € 5 784 993 € 6 587 811 € 6 585 799 €
Total Assets 6 503 439 € 6 154 069 € 6 097 118 € 7 005 035 € 7 083 550 €
Current Liabilities 1 469 092 € 1 075 898 € 657 238 € 540 403 € 443 338 €
Non Current Liabilities 2 276 409 € 2 178 788 € 2 450 000 € 2 450 000 € 2 431 818 €
Total Liabilities 3 745 501 € 3 254 686 € 3 107 238 € 2 990 403 € 2 875 156 €
Share Capital - - - - -
Equity 2 757 938 € 2 899 383 € 2 989 880 € 4 014 632 € 4 208 394 €
Employees 0 0 0 0 0

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 120 463.76 € 29 481.23 € - -
2023 Q4 132 884.55 € 28 655.33 € - -
2023 Q3 106 552.72 € 29 342.05 € - -
2023 Q2 112 662.72 € 32 226.16 € - -
2023 Q1 117 369.4 € 29 585.17 € - -
2022 Q4 128 596.63 € 33 963.05 € - -
2022 Q3 142 647.4 € 40 406.98 € - -
2022 Q2 104 288.06 € 12 377.55 € - -
2022 Q1 122 450.52 € 16 513.64 € - -
2021 Q4 564 540.02 € 65 263.18 € - -
2021 Q3 86 382.25 € 17 573.91 € - -
2021 Q2 55 895.01 € 18 000 € - -
2021 Q1 101 196.76 € 23 059.16 € - -
2020 Q4 68 573.93 € - - -
2020 Q3 60 095.59 € 28 284.73 € - -
2020 Q2 38 780.99 € - - -
2020 Q1 108 202.7 € 15 959.97 € - -