EKEREPOL OÜ

12856215

Company info

EKEREPOL OÜ

12856215

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EKE kontserni peamiseks tegevusalaks on investeerimine ärikinnisvarasse läbi arendustegevuse. Kõik koostöö ettepanekud on teretulnud!

General info

Name

EKEREPOL OÜ

Registry code

12856215

VAT number

EE101795735

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

27.05.2015 (9)

Financial year

01.01-31.12

Capital

2 500.00 €

Activity

68201 - Rental and operating of own or leased real estate

Revenue

3 703 557 €

Profit

1 373 435 €

Profit margin

37%

Gross salary

-

Equity

9 933 526 €

Employees

0

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

14%

Return on assets

4%

Related parties

Owner Representative Beneficial owner Roles

Polaria Kinnisvara OÜ

10963679

30% - 750.00 EUR - - Founder

Reterra Estate OÜ

12809907

19% - 475.00 EUR - - Founder

Osaühing Fergusson Kinnisvara

11142393

51% - 1 275.00 EUR - - Founder

Karl Ader

04.05.1982 (42)

- Board member Indirect ownership

Erki Vall

05.04.1972 (52)

- - Indirect ownership Board member

Omanikukonto: Reigo Randmets

05.08.1979 (45)

- - Indirect ownership Board member

Rein Tiik

28.10.1955 (69)

- - Indirect ownership Board member

Toomas Arumäe

10.01.1965 (59)

- - Indirect ownership Board member

Aare Kirsme

08.11.1975 (49)

- - Indirect ownership

Koit Uus

11.02.1954 (70)

- - Indirect ownership

Madis Talgre

17.04.1960 (64)

- - Indirect ownership

Priit Jaagant

31.07.1972 (52)

- - Indirect ownership

Margus Väärsi

23.03.1984 (40)

- - Indirect ownership

Related companies

Owner Representative Beneficial owner Roles

WITTENHOF OÜ

14996598

80% - 2 000.00 EUR - - Founder

Financial info

2019
05.05.2020
2020
31.05.2021
2021
14.06.2022
2022
21.06.2023
2023
15.05.2024
Total Revenue 9 203 910 € 3 180 467 € 3 135 164 € 3 444 370 € 3 703 557 €
Net profit (loss) for the period 2 825 402 € 1 516 999 € 1 577 525 € 1 977 861 € 1 373 435 €
Profit Margin 31% 48% 50% 57% 37%
Current Assets 629 866 € 3 633 099 € 339 321 € 378 344 € 1 088 034 €
Fixed Assets 28 294 094 € 28 053 870 € 27 894 914 € 31 778 610 € 31 495 797 €
Total Assets 28 923 960 € 31 686 969 € 28 234 235 € 32 156 954 € 32 583 831 €
Current Liabilities 11 287 950 € 5 534 341 € 1 653 756 € 11 780 057 € 1 467 168 €
Non Current Liabilities 14 148 304 € 21 147 923 € 19 998 249 € 11 816 806 € 21 183 137 €
Total Liabilities 25 436 254 € 26 682 264 € 21 652 005 € 23 596 863 € 22 650 305 €
Share Capital - - - - -
Equity 3 487 706 € 5 004 705 € 6 582 230 € 8 560 091 € 9 933 526 €
Employees 0 0 0 0 0

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 951 492.15 € 132 867.34 € - -
2023 Q4 839 346.68 € 121 902.46 € - -
2023 Q3 779 632.35 € 110 714.81 € - -
2023 Q2 804 611.05 € 116 093.29 € - -
2023 Q1 886 499.61 € 119 430.59 € - -
2022 Q4 785 902.67 € 122 325.19 € - -
2022 Q3 785 845.06 € 111 243.71 € - -
2022 Q2 766 812.83 € 97 137.97 € - -
2022 Q1 954 614.43 € 143 170.72 € - -
2021 Q4 720 575.25 € 118 999.47 € - -
2021 Q3 743 140.25 € 112 212.13 € - -
2021 Q2 694 836.2 € 101 873.98 € - -
2021 Q1 722 637.31 € 98 835.37 € - -
2020 Q4 740 031.99 € 110 386.54 € - -
2020 Q3 654 412.06 € 104 500.49 € - -
2020 Q2 668 563.55 € 103 598.47 € - -
2020 Q1 866 214.39 € 132 512.23 € - -