OÜ Rävala Kaheksa

11258322

Company info

OÜ Rävala Kaheksa

11258322

GO GROUP I Eestimaine kontsernhttps://go.eeGO GROUP I Eestimaine kontsern

EESTIMAINE KONTSERN Kohalikul kapitalil põhinevas Go Groupi kontsernis on viis peamist tegevussuunda. Arendame Eestis ühistransporti, raudteed, kaitsevõimet, kinnisvara ja turismi. Meid on kokku üle 1100 ning oleme jagunenud 18 aktiivselt tegutsevaks ettevõtteks. ÜHISTRANSPORT Meie 400 bussi sõidavad kõikides Eesti maakondades ja suuremates linnades, läbides aastas pea 25 miljonit kilomeetrit. Oleme suurim avalike bussiliinide teenindaja Eestis. […]

General info

Name

OÜ Rävala Kaheksa

Registry code

11258322

VAT number

EE101081287

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

30.05.2006 (18)

Financial year

01.01-31.12

Capital

2 550.00 €

Activity

68321 - Management of buildings and rental houses (apartment associations, housing associations, building associations etc) 68201 - Rental and operating of own or leased real estate

Revenue

639 390 €

Profit

-1 480 430 €

Profit margin

-232%

Gross salary

-

Equity

27 918 869 €

Employees

0

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-5%

Return on assets

-3%

Related parties

Owner Representative Beneficial owner Roles

AS Go Group

11071150

100% - 2 550.00 EUR - -

Aarne Orgna

18.10.1963 (61)

- Board member -

Tauno Muide

27.02.1968 (56)

- Board member -

Marcel Vichmann

17.01.1965 (59)

- - Indirect ownership

Tiit Pruuli

28.04.1965 (59)

- - Indirect ownership

Jüri Etverk

05.03.1977 (47)

- - - Board member

Meelis Aab

19.03.1968 (56)

- - - Board member

Veljo Kuusk

18.04.1967 (57)

- - - Board member

Related companies

Owner Representative Beneficial owner Roles

Melon Ärikeskuse OÜ

10404483

100% - 5 752.00 EUR - -

Financial info

2019
30.06.2020
2020
30.06.2021
2021
30.06.2022
2022
30.06.2023
2023
30.06.2024
Total Revenue 745 153 € 562 574 € 540 336 € 607 848 € 639 390 €
Net profit (loss) for the period -4 072 994 € 635 362 € -545 493 € -14 569 157 € -1 480 430 €
Profit Margin -547% 113% -101% -2397% -232%
Current Assets 48 353 € 44 115 € 70 647 € 215 237 € 57 545 €
Fixed Assets 45 000 000 € 50 200 000 € 54 800 000 € 50 051 526 € 50 397 602 €
Total Assets 45 048 353 € 50 244 115 € 54 870 647 € 50 266 763 € 50 455 147 €
Current Liabilities 44 917 784 € 49 478 184 € 22 381 777 € 20 083 461 € 597 829 €
Non Current Liabilities 0 € - 32 268 432 € 22 569 938 € 21 938 449 €
Total Liabilities - - 54 650 209 € 42 653 399 € 22 536 278 €
Share Capital - - - - -
Equity 130 569 € 765 931 € 220 438 € 7 613 364 € 27 918 869 €
Employees 0 0 0 0 0

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 147 965.54 € - - -
2023 Q4 155 472.42 € 20 897.19 € - -
2023 Q3 154 036.07 € 12 256.07 € - -
2023 Q2 168 526.21 € 5 630.39 € - -
2023 Q1 159 752.78 € 18 193.63 € - -
2022 Q4 164 957.24 € 26 024.47 € - -
2022 Q3 144 993.28 € 10 973.75 € - -
2022 Q2 150 178.83 € 1 086.14 € - -
2022 Q1 150 934.28 € 18 193.63 € - -
2021 Q4 152 379.49 € 27 536.02 € - -
2021 Q3 137 311.02 € 9 629.92 € - -
2021 Q2 118 040.13 € 2 397.11 € - -
2021 Q1 144 643.49 € 19 250.08 € - -
2020 Q4 160 611.91 € 24 940.27 € - -
2020 Q3 125 012.13 € 8 383.79 € - -
2020 Q2 121 316.52 € 21 739.89 € - -
2020 Q1 171 782.43 € 7 985.71 € - -