Kodusadam Osaühing

12763430

Company info

Kodusadam Osaühing

12763430

Avaleht — Merkohttps://merko.eeAvaleht — Merko

Vajad ehitusteenust? Ehitame peatöövõtjana, teostame töid oma oskustöölistega, projekteerime ja konstrueerime.Merkost saab projekti teostuse algusest lõpuni, hea ehituse ja meelerahu. Omame osalust ASis Connecto Eesti, mis projekteerib, ehitab ja hooldab elektri-, telekommunikatsiooni- ja gaasivõrke. Connecto pakutavaga tutvu siin. Meie sõsarettevõte on Tallinna Teede AS. Tutvu teenustega siin. Otsid uut kodu või äripinda? Kavandame põhjalikult, kaasame ...

General info

Name

Kodusadam Osaühing

Registry code

12763430

VAT number

EE101762218

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

03.12.2014 (9)

Financial year

01.01-31.12

Capital

10 000.00 €

Activity

68101 - Buying and selling of own real estate

Revenue

65 780 670 €

Profit

8 896 990 €

Profit margin

14%

Gross salary

-

Equity

15 353 959 €

Employees

0

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

58%

Return on assets

28%

Related parties

Owner Representative Beneficial owner Roles

BLRT Grupp AS

10068499

50% - 5 000.00 EUR - - Founder

OÜ Merko Kodud

16796573

50% - 5 000.00 EUR - -

Ivar Piirsalu

15.07.1969 (55)

- Board member Member of a higher management body, i.e. board member or supervisory board member

Tiit Kuusik

03.03.1962 (62)

- Board member Member of a higher management body, i.e. board member or supervisory board member

Aktsiaselts MERKO EHITUS

11520257

- - - Founder

Financial info

2019
09.06.2020
2020
11.05.2021
2021
03.05.2022
2022
15.05.2023
2023
31.05.2024
Total Revenue 19 940 326 € 2 111 881 € 412 500 € 14 506 365 € 65 780 670 €
Net profit (loss) for the period 3 531 783 € 291 521 € -54 668 € 1 804 318 € 8 896 990 €
Profit Margin 18% 14% -13% 12% 14%
Current Assets 8 777 543 € 7 965 120 € 18 408 721 € 42 434 719 € 31 625 562 €
Fixed Assets 262 099 € 0 € 84 551 € 99 713 € 88 657 €
Total Assets 9 039 642 € 7 965 120 € 18 493 272 € 42 534 432 € 31 714 219 €
Current Liabilities 4 043 636 € 1 027 801 € 13 840 621 € 36 077 463 € 16 360 260 €
Non Current Liabilities - 2 230 000 € 0 € - -
Total Liabilities - 3 257 801 € - - -
Share Capital - - - - -
Equity 4 996 006 € 4 707 319 € 4 652 651 € 6 456 969 € 15 353 959 €
Employees 0 0 0 0 0

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 18 976 245.52 € 2 969 626.1 € - -
2023 Q4 7 624 175.99 € 509 236.74 € - -
2023 Q3 8 807 915.65 € 497 723.45 € - -
2023 Q2 17 286 976.36 € 2 146 203.18 € - -
2023 Q1 14 975 162.97 € 1 519 505.26 € - -
2022 Q4 1 358 021.09 € - - -
2022 Q3 1 470 379.18 € - - -
2022 Q2 1 428 438.97 € - - -
2022 Q1 5 599 290.58 € 199 624.17 € - -
2021 Q4 2 118 817.8 € - - -
2021 Q3 1 681 634.33 € - - -
2021 Q2 3 272 231.26 € 534 281.53 € - -
2021 Q1 665 686.72 € - - -
2020 Q4 95 880 € - - -
2020 Q3 384 660.15 € - - -
2020 Q2 823 069.16 € - - -
2020 Q1 2 826 672.78 € 555 150.29 € - -