MCF Group Estonia OÜ

14069314

Company info

MCF Group Estonia OÜ

14069314

Greenergy Data Centers - Available and Connected!https://mcfestonia.comGreenergy Data Centers - Available and Connected!

With multiple levels of security to keep your assets safe, duplicated systems offering high reliability, and electricity sourced from renewable energy, our data center is the best place to store your mission-critical data. Additionally, we are a cloud- and carrier-neutral, allowing you the freedom t

General info

Name

MCF Group Estonia OÜ

Registry code

14069314

VAT number

EE101940577

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

20.06.2016 (8)

Financial year

01.01-31.12

Capital

25 329.00 €

Activity

63111 - Data processing, hosting and related activities

Revenue

1 529 160 €

Profit

-6 342 884 €

Profit margin

-415%

Gross salary

3 496 €

(estimate is approximate)

Equity

14 612 146 €

Employees

28

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-43%

Return on assets

-14%

Related parties

Owner Representative Beneficial owner Roles

Greenergy Data Centers OÜ

16078211

100% - 25 329.00 EUR - -

Tõnu Grünberg

28.08.1963 (61)

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

Kert Evert

19.06.1977 (47)

- Board member - Founder

Aarne Pärnsalu

01.04.1974 (50)

- Board member -

Maigi Pärnik-Pernik

19.01.1974 (50)

- Board member -

Aavo Pikkof

01.05.1962 (62)

- - - Founder

Related companies

Owner Representative Beneficial owner Roles

Teraslinnu Tibukasvatuse OÜ

12590366

100% - 2 500.00 EUR - -

Financial info

2019
18.06.2020
2020
30.06.2021
2021
19.08.2022
2022
13.06.2023
2023
26.06.2024
Total Revenue 3 600 € 3 300 € 12 771 € 517 306 € 1 529 160 €
Net profit (loss) for the period -293 500 € -646 378 € -3 678 414 € -6 214 256 € -6 342 884 €
Profit Margin -8153% -19587% -28803% -1201% -415%
Current Assets 2 772 055 € 592 886 € 2 341 421 € 3 885 648 € 3 124 255 €
Fixed Assets 1 204 010 € 20 414 486 € 39 667 146 € 43 931 879 € 43 046 857 €
Total Assets 3 976 065 € 21 007 372 € 42 008 567 € 47 817 527 € 46 171 112 €
Current Liabilities 3 009 188 € 10 324 959 € 3 322 273 € 852 861 € 1 709 697 €
Non Current Liabilities - 2 106 598 € 25 517 008 € 32 009 636 € 29 849 269 €
Total Liabilities - 12 431 557 € 28 839 281 € 32 862 497 € 31 558 966 €
Share Capital - - - - -
Equity 966 877 € 8 575 815 € 13 169 286 € 14 955 030 € 14 612 146 €
Employees 3 10 21 29 28

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 656 140.91 € 164 609.86 € 160 958.39 € 28
2023 Q4 799 714.62 € 150 102.19 € 152 485.67 € 26
2023 Q3 393 716.83 € 160 757.67 € 163 446.76 € 27
2023 Q2 346 072.15 € 182 156.58 € 189 525.78 € 27
2023 Q1 271 206.56 € - 159 152.43 € 29
2022 Q4 274 926.76 € - 158 835.93 € 28
2022 Q3 165 841.14 € 154 440.15 € 164 085.85 € 28
2022 Q2 84 537.79 € 143 689.71 € 153 627.89 € 29
2022 Q1 75 448.48 € 143 764.33 € 149 591.57 € 28
2021 Q4 49 167.01 € - 124 225.66 € 27
2021 Q3 5 625.9 € 104 452.82 € 109 655.18 € 23
2021 Q2 132 434.06 € - 98 546.13 € 22
2021 Q1 163 223.78 € - 63 272.62 € 18
2020 Q4 260 200.69 € - 57 899.2 € 13
2020 Q3 86 392.63 € - 67 258.68 € 12
2020 Q2 4 497.23 € - 55 527.22 € 12
2020 Q1 6 765.64 € 55 512.79 € 53 749.22 € 9