OÜ STROMAN

11673073

Company info

OÜ STROMAN

11673073

Tööriistade renthttp://stroman.eeTööriistade rent

Soojaku rent, Põrandalihvija rent, Betoonifrees rent, Betooninui rent, Tolmuimeja rent, Pinnasetihendaja rent, Postiaugu puur, Diiselpuhuri rent, Armatuuripainutaja rent, Generaatori rent, Käärtõstuki rent akutõstuk, Upitaja teenus, Pinnaserulli rent, Ehitustellingu rent, Kipsitõstuki rent, Redeli rent, Ekskavaatori rent kopa rent, raketised rent, korvtõstuki rent, Fassaaditellingud rent raamtellingu rent, Piirdeaiad rent, tööriistade rent, Betoonisilur betoonihõõruti rent

General info

Name

OÜ STROMAN

Registry code

11673073

VAT number

EE101316282

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

05.08.2009 (15)

Financial year

01.01-31.12

Capital

25 566.00 €

Activity

49411 - Freight transport by road 77321 - Rental and leasing of construction and civil engineering machinery and equipment

Revenue

4 278 596 €

Profit

1 205 238 €

Profit margin

28%

Gross salary

2 368 €

(estimate is approximate)

Equity

9 932 931 €

Employees

30

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

12%

Return on assets

10%

Related parties

Owner Representative Beneficial owner Roles

osaühing MT Ettevõtmised

10915443

50% - 12 783.00 EUR - - Founder

Osaühing Malinen Grupp

10942430

50% - 12 783.00 EUR - - Founder

Jüri Malinen

29.07.1966 (58)

- Board member Direct ownership

Margus Tilgar

06.10.1965 (58)

- Board member Direct ownership

Financial info

2019
29.06.2020
2020
28.06.2021
2021
30.06.2022
2022
29.06.2023
2023
25.06.2024
Total Revenue 3 962 795 € 3 376 958 € 4 429 154 € 5 106 027 € 4 278 596 €
Net profit (loss) for the period 1 564 119 € 942 347 € 1 677 440 € 1 203 048 € 1 205 238 €
Profit Margin 39% 28% 38% 24% 28%
Current Assets 2 372 587 € 3 493 942 € 4 257 269 € 4 779 192 € 5 675 696 €
Fixed Assets 5 648 539 € 5 518 605 € 6 459 413 € 6 535 961 € 6 219 278 €
Total Assets 8 021 126 € 9 012 547 € 10 716 682 € 11 315 153 € 11 894 974 €
Current Liabilities 116 268 € 165 342 € 192 037 € 2 587 460 € 1 962 043 €
Non Current Liabilities - - - - -
Total Liabilities - - - - -
Share Capital - - - - -
Equity 7 904 858 € 8 847 205 € 10 524 645 € 8 727 693 € 9 932 931 €
Employees 31 31 31 30 30

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 714 352.25 € 209 736.28 € 125 727.11 € 30
2023 Q4 1 278 359.5 € 293 815.44 € 111 961.14 € 29
2023 Q3 1 337 315.14 € 306 017.76 € 107 747.29 € 30
2023 Q2 1 055 624.95 € 299 562.42 € 99 541.16 € 30
2023 Q1 859 363.32 € 213 163 € 135 135.6 € 30
2022 Q4 1 518 329.61 € 263 075 € 98 553.27 € 29
2022 Q3 1 583 337.33 € 329 193.08 € 100 318.12 € 31
2022 Q2 1 270 875.23 € 473 617.61 € 107 404.62 € 31
2022 Q1 929 272.82 € 200 954.83 € 99 167.06 € 30
2021 Q4 1 554 744.21 € 254 981.78 € 87 140.68 € 30
2021 Q3 1 361 734.87 € 218 821.39 € 89 971.59 € 31
2021 Q2 1 088 551.94 € 113 149.52 € 78 234.73 € 33
2021 Q1 804 505.96 € 172 876.77 € 101 999.01 € 32
2020 Q4 1 026 381.87 € 193 064.72 € 76 206.64 € 32
2020 Q3 1 020 607.02 € 226 211.95 € 79 418.73 € 32
2020 Q2 822 891.78 € 144 652.29 € 80 126.81 € 31
2020 Q1 714 430.85 € 108 348.87 € 94 146.29 € 34