Osaühing Rakvere Betoon

11929986

Company info

Osaühing Rakvere Betoon

11929986

Betooni tootmine ja müük | Rakvere Betoonhttps://rakverebetoon.eeBetooni tootmine ja müük | Rakvere Betoon

Betoonisegude ja raudbetoonelementide tootmine, müük ja transport. ➤ Teostame kõiki betoonitöid ➤ Võta ühendust! ☎ (+372) 5519059

General info

Name

Osaühing Rakvere Betoon

Registry code

11929986

VAT number

EE101366821

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

22.04.2010 (14)

Financial year

01.01-31.12

Capital

237 650.00 €

Activity

49411 - Freight transport by road 23611 - Manufacture of prefabricated concrete buildings and components thereof 23631 - Manufacture of ready−mixed concrete  

Revenue

3 935 976 €

Profit

298 191 €

Profit margin

8%

Gross salary

1 843 €

(estimate is approximate)

Equity

1 609 111 €

Employees

42

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

19%

Return on assets

14%

Related parties

Owner Representative Beneficial owner Roles

Forex Trust OÜ

11698653

50% - 118 825.00 EUR - - Founder

Aktsiaselts KEK Invest

10061600

50% - 118 825.00 EUR - -

Valdur Soppe

01.06.1953 (71)

- Board member -

Mait Koldits

13.01.1970 (54)

- - Direct ownership Board member

Toomas Kuusküll

24.10.1952 (71)

- - Direct ownership Board member

Erki Casar

31.03.1977 (47)

- - - Board member

Financial info

2019
14.07.2020
2020
30.06.2021
2021
30.06.2022
2022
30.06.2023
2023
28.06.2024
Total Revenue 3 063 000 € 2 862 279 € 3 825 902 € 4 254 552 € 3 935 976 €
Net profit (loss) for the period -196 885 € -179 939 € 181 704 € 99 784 € 298 191 €
Profit Margin -6% -6% 5% 2% 8%
Current Assets 532 110 € 489 039 € 757 848 € 621 357 € 728 098 €
Fixed Assets 1 598 214 € 1 688 171 € 1 559 364 € 1 502 228 € 1 385 462 €
Total Assets 2 130 324 € 2 177 210 € 2 317 212 € 2 123 585 € 2 113 560 €
Current Liabilities 686 384 € 804 830 € 830 106 € 663 316 € 353 372 €
Non Current Liabilities 234 587 € 342 966 € 275 988 € 149 350 € 151 077 €
Total Liabilities 920 971 € 1 147 796 € 1 106 094 € 812 666 € 504 449 €
Share Capital - - - - -
Equity 1 209 353 € 1 029 414 € 1 211 118 € 1 310 919 € 1 609 111 €
Employees 48 45 41 43 42

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 732 566.96 € 177 027.98 € 122 763.2 € 40
2023 Q4 1 349 347.72 € 272 766.15 € 143 675.88 € 40
2023 Q3 1 385 961.31 € 254 379.21 € 132 492.12 € 41
2023 Q2 785 335.89 € 158 795.17 € 96 421.14 € 40
2023 Q1 513 671.54 € 139 021.33 € 113 185.23 € 36
2022 Q4 1 419 916.91 € 251 141.31 € 134 710.23 € 39
2022 Q3 1 307 008.48 € 244 999.91 € 136 206.27 € 40
2022 Q2 1 402 696.73 € 230 173.74 € 115 778.96 € 41
2022 Q1 820 246.55 € 185 287.52 € 114 298.03 € 41
2021 Q4 1 457 705.45 € 266 004.31 € 129 546.41 € 38
2021 Q3 1 092 909.31 € 200 707.6 € 123 100.78 € 39
2021 Q2 878 760.77 € 160 271.92 € 93 903.28 € 39
2021 Q1 716 271.42 € 150 691.23 € 110 999.24 € 40
2020 Q4 761 714.67 € 168 747.99 € 109 057.71 € 40
2020 Q3 924 834.51 € 185 022.5 € 121 930.53 € 45
2020 Q2 812 446.7 € 134 535.46 € 95 583.57 € 46
2020 Q1 601 665.49 € 143 576.34 € 111 225.7 € 44