RebelRoam OÜ

12933932

Company info

RebelRoam OÜ

12933932

Home | RebelRoam passenger Wi-Fi and global connectivityhttps://www.rebelroam.comHome | RebelRoam passenger Wi-Fi and global connectivity

Improve Wi-Fi quality, cut down Internet bills and raise passenger satisfaction with RebelRocket's Onboard Wi-Fi Traffic Optimization service.

General info

Name

RebelRoam OÜ

Registry code

12933932

VAT number

EE101829960

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

22.10.2015 (9)

Financial year

01.10-30.09

Capital

2 744.00 €

Activity

46141 - Agents involved in the sale of machinery, industrial equipment, ships and aircraft 61901 - Other electronical communications services

Revenue

3 222 238 €

Profit

847 410 €

Profit margin

26%

Gross salary

2 548 €

(estimate is approximate)

Equity

1 242 243 €

Employees

8

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

68%

Return on assets

46%

Related parties

Owner Representative Beneficial owner Roles

OÜ Põhja-India Kohvi Kompanii

11595798

23% - 625.00 EUR - - Founder

Topolev Holding OÜ

12927788

23% - 625.00 EUR - - Founder

KP investeeringute OÜ

12932217

23% - 625.00 EUR - - Founder

HP Invest 2017 OÜ

14227533

23% - 625.00 EUR - -

Wise Guys Investment OÜ

12236417

9% - 244.00 EUR - -

Henri Ploom

03.05.1976 (48)

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

Magnus Rüütel

26.01.1975 (49)

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

Tarvo Topolev

10.05.1985 (39)

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

Related companies

Owner Representative Beneficial owner Roles

Recruitment Software OÜ

14936047

1% - 25.08 EUR - -

Financial info

2019
30.12.2019
2020
04.12.2020
2021
17.12.2021
2022
28.11.2022
2023
27.11.2023
Total Revenue 1 798 288 € 1 564 794 € 992 892 € 2 218 461 € 3 222 238 €
Net profit (loss) for the period 151 712 € 50 350 € -135 258 € 645 015 € 847 410 €
Profit Margin 8% 3% -14% 29% 26%
Current Assets 841 642 € 826 077 € 554 255 € 1 005 073 € 1 493 826 €
Fixed Assets 385 262 € 268 020 € 215 113 € 395 424 € 336 884 €
Total Assets 1 226 904 € 1 094 097 € 769 368 € 1 400 497 € 1 830 710 €
Current Liabilities 892 178 € 709 021 € 414 550 € 400 664 € 483 467 €
Non Current Liabilities - - 105 000 € 105 000 € 105 000 €
Total Liabilities - - 519 550 € 505 664 € 588 467 €
Share Capital - - - - -
Equity 334 726 € 385 076 € 249 818 € 894 833 € 1 242 243 €
Employees 13 16 12 7 8

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 1 680 455.67 € 181 524.85 € 47 740.9 € 9
2023 Q4 1 415 781.12 € 39 303.45 € 35 551.02 € 9
2023 Q3 1 313 609.47 € 93 842.02 € 33 588.68 € 8
2023 Q2 802 250.93 € 100 684.26 € 36 927.83 € 8
2023 Q1 771 987.52 € 31 694.78 € 33 740.36 € 9
2022 Q4 803 143.07 € 30 732.4 € 32 862.09 € 8
2022 Q3 605 323.88 € - 28 038.31 € 8
2022 Q2 623 094.79 € 27 097.7 € 27 727.62 € 7
2022 Q1 327 699.56 € 25 091.54 € 26 996.06 € 7
2021 Q4 456 101.1 € 23 537.86 € 25 359.77 € 7
2021 Q3 344 803.18 € 41 364.69 € 44 226.75 € 6
2021 Q2 146 777.89 € 37 085.55 € 39 965.41 € 8
2021 Q1 228 305.86 € 63 610.13 € 67 586.33 € 12
2020 Q4 128 951.28 € 65 810.89 € 72 196.64 € 13
2020 Q3 336 738.31 € 67 005.26 € 70 896.07 € 13
2020 Q2 397 744.11 € 22 914.37 € 24 277.07 € 16
2020 Q1 721 476.04 € 99 332.79 € 107 318.49 € 18