Address
Email address
Phone number
AS EG Ehitus on AS Eesti Gaasi kontserni ettevõte, mille põhitegevus on vee-, kanalisatsiooni-, sooja- ja gaasitorustike ehitus, katlamajade ehitus, projekteerimine ning remonditööd.
Name
AS EG Ehitus
Registry code
11097051
VAT number
EE100945324
Type
AS - Joint Stock Company
Status
Registered
Foundation date
12.01.2005 (19)
Financial year
01.01-31.12
Capital
2 164 680.00 €
Activity
4120 - Construction of residential and non-residential buildings 42221 - Construction of utility projects for electricity and telecommunications 33111 - Repair of fabricated metal products 43221 - Installation of heating, ventilation and air conditioning equipment 42211 - Construction of utility projects for fluids
26 809 186 €
740 436 €
3%
-
5 370 741 €
99
Submitted
No tax arrears
14%
5%
Owner | Representative | Beneficial owner | Roles | |
---|---|---|---|---|
OÜ INF Engineering 16568470 | 100% - 2 164 680.00 EUR | - | - | Shareholder |
Leo Rahu 24.08.1976 (48) | - | Board member | - | |
Martin Viilep 23.05.1981 (43) | - | Board member | - | |
Rein Rätsep 26.10.1972 (52) | - | Board member | - | |
Enn Pant 26.06.1965 (59) | - | - | Indirect ownership | |
Jaanus Sula 14.12.1966 (57) | - | - | - | Board member |
Martti Talgre 16.08.1982 (42) | - | - | - | Board member |
Eve Pant 25.07.1968 (56) | - | - | - | Board member |
Ain Hanschmidt 10.11.1961 (63) | - | - | - | Chairman of the board |
AS Eesti Gaas 10178905 | - | - | - | Founder |
2019 30.06.2020 | 2020 30.06.2021 | 2021 07.06.2022 | 2022 30.06.2023 | 2023 20.06.2024 | |
---|---|---|---|---|---|
Total Revenue | 25 820 130 € | 19 651 877 € | 19 351 777 € | 15 078 297 € | 26 809 186 € |
Net profit (loss) for the period | 842 836 € | 1 492 081 € | 1 139 795 € | -834 299 € | 740 436 € |
Profit Margin | 3% | 8% | 6% | -6% | 3% |
Current Assets | 7 486 882 € | 6 159 668 € | 7 126 840 € | 5 992 426 € | 11 525 322 € |
Fixed Assets | 1 180 184 € | 1 289 732 € | 1 758 222 € | 2 116 589 € | 2 061 032 € |
Total Assets | 8 667 066 € | 7 449 400 € | 8 885 062 € | 8 109 015 € | 13 586 354 € |
Current Liabilities | 4 933 703 € | 2 526 332 € | 2 671 278 € | 2 889 162 € | 7 550 564 € |
Non Current Liabilities | 586 621 € | 574 280 € | 725 201 € | 589 548 € | 665 049 € |
Total Liabilities | 5 520 324 € | 3 100 612 € | 3 396 479 € | 3 478 710 € | 8 215 613 € |
Share Capital | 2 164 680 € | 2 164 680 € | 2 164 680 € | 2 164 680 € | 2 164 680 € |
Equity | 3 146 742 € | 4 348 788 € | 5 488 583 € | 4 630 305 € | 5 370 741 € |
Employees | 67 | 107 | 108 | 107 | 99 |
Turnover | State taxes | Labor taxes and payments | Employees | |
---|---|---|---|---|
2024 Q1 | 7 103 213.68 € | 948 843.18 € | 493 704.56 € | 110 |
2023 Q4 | 9 893 032.42 € | 1 009 631.16 € | 591 476.13 € | 111 |
2023 Q3 | 9 551 267.45 € | 845 010.31 € | 484 137.96 € | 109 |
2023 Q2 | 5 170 032.35 € | 782 524.88 € | 483 212.86 € | 102 |
2023 Q1 | 4 584 739.53 € | 675 708.44 € | 511 867.95 € | 99 |
2022 Q4 | 4 284 739.49 € | 706 442.04 € | 467 907.62 € | 105 |
2022 Q3 | 4 376 601.78 € | 711 430.62 € | 524 431.12 € | 110 |
2022 Q2 | 4 296 401.41 € | 842 543.27 € | 501 306.8 € | 110 |
2022 Q1 | 3 212 065.27 € | 853 326.53 € | 547 366.68 € | 112 |
2021 Q4 | 4 996 431.99 € | 854 480.01 € | 472 175.95 € | 107 |
2021 Q3 | 10 337 804.59 € | 1 798 818.45 € | 452 527.61 € | 115 |
2021 Q2 | 4 371 110.31 € | 537 003.47 € | 531 586.08 € | 108 |
2021 Q1 | 2 081 528 € | 573 349.66 € | 564 759.4 € | 111 |
2020 Q4 | 5 306 932.39 € | 939 918.34 € | 446 655.66 € | 109 |
2020 Q3 | 12 552 218.1 € | 1 702 316 € | 483 812.52 € | 109 |
2020 Q2 | 3 856 900.78 € | 491 185.09 € | 346 704.17 € | 106 |
2020 Q1 | 9 493 769.36 € | 1 541 209.55 € | 388 231.34 € | 110 |