Nordic Hypo AS

11881110

Company info

Nordic Hypo AS

11881110

Laen kinnisvara tagatisel - Hüpoteeklaen - Nordic Hypohttps://www.nordichypo.eeLaen kinnisvara tagatisel - Hüpoteeklaen - Nordic Hypo

Nordic Hypo pakub paindlikku laenu kinnisvara tagatisel kuni 100 000€ ning krediidiliini ettevõtetele kuni 150 000€. Vajad rahastust uutele projektidele?

General info

Name

Nordic Hypo AS

Registry code

11881110

VAT number

EE101826109

Type

AS - Joint Stock Company

Status

Registered

Foundation date

25.01.2010 (14)

Financial year

01.01-31.12

Capital

300 000.00 €

Activity

64929 - Other credit granting, except pawn shops

Revenue

2 912 166 €

Profit

612 841 €

Profit margin

21%

Gross salary

4 033 €

(estimate is approximate)

Equity

3 582 390 €

Employees

6

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

17%

Return on assets

2%

Related parties

Owner Representative Beneficial owner Roles

Nordic Hypo Holding OÜ

12925022

100% - 300 000.00 EUR - - Shareholder

Sten Tikk

23.12.1980 (43)

- Board member Indirect ownership

Heikki Rannik

11.09.1973 (51)

- Board member -

Ülar Tikk

27.03.1959 (65)

- - Indirect ownership Chairman of the board

Jaanus Hellat

31.07.1969 (55)

- - - Board member

Reigo Marosov

10.09.1980 (44)

- - - Board member

Martin Tälli

01.04.1983 (41)

- - - Founder

Related companies

Owner Representative Beneficial owner Roles

Osaühing 1Credit Narva

12006189

100% - 2 600.00 EUR - -

1Credit OÜ

11644893

100% - 2 556.00 EUR - -

Financial info

2019
28.05.2020
2020
25.03.2021
2021
22.06.2022
2022
04.04.2023
2023
04.04.2024
Total Revenue 2 253 089 € 2 081 962 € 2 156 831 € 2 849 786 € 2 912 166 €
Net profit (loss) for the period 464 659 € 328 337 € 418 268 € 826 296 € 612 841 €
Profit Margin 21% 16% 19% 29% 21%
Current Assets 7 246 887 € 6 748 454 € 10 899 087 € 15 423 436 € 13 970 649 €
Fixed Assets 8 970 244 € 9 020 969 € 11 405 999 € 9 712 768 € 12 220 702 €
Total Assets 16 217 131 € 15 769 423 € 22 305 086 € 25 136 204 € 26 191 351 €
Current Liabilities 4 242 720 € 5 026 263 € 13 593 745 € 20 008 572 € 18 377 468 €
Non Current Liabilities 8 369 680 € 6 810 092 € 4 360 005 € 250 000 € 4 231 493 €
Total Liabilities 12 612 400 € 11 836 355 € 17 953 750 € 20 258 572 € 22 608 961 €
Share Capital 300 000 € 300 000 € 300 000 € 300 000 € 300 000 €
Equity 3 604 731 € 3 933 068 € 4 351 336 € 4 877 632 € 3 582 390 €
Employees 5 5 7 5 6

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 - 33 851.5 € 36 111.29 € 6
2023 Q4 - 25 722.21 € 27 548.38 € 6
2023 Q3 - 126 909.25 € 64 013.99 € 5
2023 Q2 - 25 083.96 € 26 848.77 € 5
2023 Q1 - 106 486.53 € 33 707.34 € 5
2022 Q4 - 23 336.56 € 24 953.53 € 5
2022 Q3 - 59 935.53 € 63 388.44 € 5
2022 Q2 - 29 884.13 € 30 560.68 € 7
2022 Q1 - 29 626.36 € 31 033.07 € 7
2021 Q4 - 21 949.46 € 23 516.15 € 6
2021 Q3 - 21 200.35 € 22 702.36 € 6
2021 Q2 - 17 324.38 € 18 482.71 € 7
2021 Q1 - 20 362.36 € 21 705.83 € 5
2020 Q4 - 16 456.77 € 17 607.9 € 5
2020 Q3 - 15 922.56 € 17 028.72 € 5
2020 Q2 - 15 915.06 € 17 021.22 € 5
2020 Q1 - 20 560.14 € 21 964.34 € 5