Optigon OÜ

14424376

General info

Name

Optigon OÜ

Registry code

14424376

VAT number

EE102096080

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

07.02.2018 (6)

Financial year

01.01-31.12

Capital

3 503.86 €

Activity

77399 - Renting and operational leasing of other machinery, equipment and tangible assets not classified elsewhere 30991 - Manufacture of other transport equipment n.e.c.

Revenue

-

Profit

-

Profit margin

-

Gross salary

-

Equity

-

Employees

-

Annual report

Not submitted

Tax arrears

No tax arrears

Return on equity

-

Return on assets

-

Related parties

Owner Representative Beneficial owner Roles

INDREK PETJÄRV

10.05.1995 (29)

24% - 834.00 EUR Board member Direct ownership Founder

RIHO KOOP

29.12.1990 (33)

24% - 834.00 EUR Board member Direct ownership Founder

SIIM STARKE

22.02.1993 (31)

24% - 834.00 EUR Board member Direct ownership Founder

OÜ ETSURAM

12121231

2% - 62.00 EUR - -

COMODULE OÜ

12699057

2% - 62.00 EUR - -

Moneytrain Holding OÜ

14022927

1% - 51.63 EUR - -

Taavi Toomere

26.07.1977 (47)

1% - 51.63 EUR - -

HLR Development OÜ

11506671

0% - 5.00 EUR - -

Silventure OÜ

16484572

1% - 41.31 EUR - -

Osaühing REMMELG & POJAD

10396559

1% - 30.98 EUR - -

OÜ Laughable Company

10857954

1% - 25.82 EUR - -

Marko Capital OÜ

14307363

1% - 25.00 EUR - -

RothCap Investments OÜ

12709643

1% - 25.00 EUR - -

Usaldusfond United Angels Fund I

14371639

6% - 206.53 EUR - -

Kelnase Holding Company OÜ

14023074

1% - 20.65 EUR - -

Yoisho OÜ

14023068

4% - 153.27 EUR - -

Nolimit OÜ

12327663

0% - 15.49 EUR - -

Usaldusfond Superangel One

14435150

4% - 129.08 EUR - -

Related companies

Owner Representative Beneficial owner Roles

Vok Bikes Fleet OÜ

16338818

100% - 2 500.00 EUR - - Founder

Financial info

2019
05.11.2020
2020
07.09.2021
2021
28.11.2022
2022
01.12.2023
Total Revenue 100 930 € 5 260 € 56 588 € 549 618 €
Net profit (loss) for the period 1 482 € -3 324 € -389 336 € -1 730 051 €
Profit Margin 1% -63% -688% -315%
Current Assets 16 443 € 31 328 € 393 229 € 895 580 €
Fixed Assets 15 222 € 120 647 € 577 997 € 829 728 €
Total Assets 31 665 € 151 975 € 971 226 € 1 725 308 €
Current Liabilities 19 029 € 28 650 € 503 650 € 813 578 €
Non Current Liabilities - - 733 587 € 66 704 €
Total Liabilities - - 1 237 237 € 880 282 €
Share Capital - - - -
Equity 12 636 € 123 325 € -266 011 € 845 026 €
Employees 3 5 15 24

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 192 045.63 € 67 151.37 € 72 096.52 € 16
2023 Q4 199 336.47 € 100 332.54 € 106 516.76 € 18
2023 Q3 101 571.53 € 114 118.44 € 89 534.66 € 22
2023 Q2 189 103.94 € 34 900.23 € 39 144.65 € 23
2023 Q1 250 607.82 € 145 672.63 € 143 689.33 € 21
2022 Q4 218 972.36 € 55 870.59 € 63 200.32 € 25
2022 Q3 206 279.56 € 96 276.51 € 103 603.26 € 26
2022 Q2 209 013.82 € 68 631.08 € 72 907.4 € 29
2022 Q1 98 021.37 € 52 548.88 € 56 148.98 € 23
2021 Q4 69 066.31 € 45 987.39 € 49 893.48 € 21
2021 Q3 28 567.34 € 36 605.14 € 39 706.88 € 17
2021 Q2 21 288.18 € 25 896.36 € 28 106.99 € 14
2021 Q1 10 331.17 € 14 464.11 € 15 780.7 € 9
2020 Q4 1 820.94 € 10 510.84 € 11 381.18 € 7
2020 Q3 - 10 012.58 € 10 895.67 € 6
2020 Q2 1 400 € 1 722.31 € 1 607.83 € 4
2020 Q1 6 860 € 5 397.11 € 5 043.15 € 4