Kodea OÜ

14452958

Company info

Kodea OÜ

14452958

KODEA Modular Houses – The Future of Homebuildinghttps://kodea.euKODEA Modular Houses – The Future of Homebuilding

Discover top-quality modular houses at KODEA for residential and commercial use. Explore our range of modular homes and book your consultation today! Visit now.

General info

Name

Kodea OÜ

Registry code

14452958

VAT number

EE102064766

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

20.03.2018 (6)

Financial year

01.01-31.12

Capital

3 958.13 €

Activity

41201 - Construction of residential and non-residential buildings

Revenue

1 480 177 €

Profit

-2 083 661 €

Profit margin

-141%

Gross salary

3 131 €

(estimate is approximate)

Equity

-4 437 445 €

Employees

11

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

47%

Return on assets

-707%

Related parties

Owner Representative Beneficial owner Roles

SULVANIUS INVEST OÜ

11182688

2% - 95.63 EUR - -

Rainer Nõlvak

28.09.1966 (58)

32% - 1 250.00 EUR - Direct ownership FounderBoard member

Ülar Mark

12.02.1968 (56)

32% - 1 250.00 EUR - Direct ownership FounderBoard member

HTB INVESTEERINGUTE OÜ

10392018

32% - 1 250.00 EUR - -

Constructo OÜ

12100014

3% - 112.50 EUR - -

Henri Purde

05.07.1988 (36)

- Board member -

Raul Parusk

22.01.1969 (55)

- Board member -

Omanikukonto: Hannes Tamjärv

01.04.1961 (63)

- - Indirect ownership Chairman of the board

Financial info

2019
17.11.2021
2020
19.11.2021
2021
30.06.2022
2022
08.03.2024
2023
26.06.2024
Total Revenue 264 € 126 792 € 251 075 € 2 587 442 € 1 480 177 €
Net profit (loss) for the period -338 677 € -156 332 € -256 471 € -3 713 573 € -2 083 661 €
Profit Margin -128287% -123% -102% -144% -141%
Current Assets 70 609 € 51 977 € 161 117 € 449 754 € 16 167 €
Fixed Assets 369 633 € 907 731 € 1 239 515 € 332 588 € 278 500 €
Total Assets 440 242 € 959 708 € 1 400 632 € 782 342 € 294 667 €
Current Liabilities 103 649 € 350 694 € 512 843 € 3 163 126 € 4 732 112 €
Non Current Liabilities 731 000 € 1 159 753 € 1 655 000 € 0 € -
Total Liabilities 834 649 € 1 510 447 € 2 167 843 € - -
Share Capital - - - - -
Equity -394 407 € -550 739 € -767 211 € -2 380 784 € -4 437 445 €
Employees 6 7 7 22 11

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 2 292.43 € 16 316.73 € 16 624.85 € -
2023 Q4 154 144.83 € 43 094.32 € 19 620.28 € -
2023 Q3 34 580.94 € 15 511.95 € 21 311.56 € 3
2023 Q2 611 066.81 € - 56 390.65 € 4
2023 Q1 1 014 150.04 € 18 875.7 € 124 343.59 € 19
2022 Q4 1 112 723.31 € 24 174.81 € 104 302.1 € 30
2022 Q3 684 793.34 € 100 118.48 € 97 726.64 € 26
2022 Q2 494 169.1 € - 54 047.92 € 24
2022 Q1 223 257.29 € 7 951.4 € 29 592.36 € 11
2021 Q4 3 501 € 24 189.02 € 26 025.9 € 7
2021 Q3 - 25 764.87 € 27 693.94 € 6
2021 Q2 116.99 € 20 503.2 € 23 259.86 € 6
2021 Q1 182 657 € 46 356.52 € 19 891.02 € 6
2020 Q4 674.05 € 19 681.61 € 20 944.39 € 8
2020 Q3 274 € 20 910.23 € 22 343.72 € 7
2020 Q2 1 383.7 € 23 371.24 € 24 510.62 € 8
2020 Q1 3 388.64 € 22 662.93 € 24 200.28 € 10