osaühing Harmet

10282927

General info

Name

osaühing Harmet

Registry code

10282927

VAT number

EE100435656

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

08.10.1997 (28)

Financial year

01.01-31.12

Capital

28 454.00 €

Activity

41201 - Construction of residential and non-residential buildings 68201 - Rental and operating of own or leased real estate 16232 - Manufacture of prefabricated wooden buildings (e.g. saunas, summerhouses, houses) or elements thereof 43299 - Other construction installation n.e.c.

Revenue

28 882 462 €

Profit

-5 906 703 €

Profit margin

-20%

Gross salary

-

Equity

2 510 326 €

Employees

-

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-235%

Return on assets

-54%

Related parties

Owner Representative Beneficial owner

Toomas Linamäe

- Board member Indirect ownership

Ivar Valdmaa

- Board member Indirect ownership

Toomas Kalev

- Board member Indirect ownership

Alo Tamm

- Board member Direct ownership

Barex Partners osaühing

10885889

20% - 5 691.00 EUR - -

Hanstep OÜ

11158856

10% - 2 845.00 EUR - -

Osaühing Rosier Team

10749874

70% - 19 918.00 EUR - -

Related companies

Owner Representative Beneficial owner

ATH Trade OÜ

12722431

33% - 825.00 EUR - -

THORN Engineering OÜ

14591909

100% - 2 500.00 EUR - -

Harmet Finland OÜ

14989150

90% - 2 250.00 EUR - -

OÜ Harmet Metall

14245082

90% - 2 250.00 EUR - -

Harmet Bathroom OÜ

12715224

80% - 2 240.00 EUR - -

Electrical engineering OÜ

16447045

85% - 2 125.00 EUR - -

OÜ Harmet Modular Building

14110643

80% - 2 000.00 EUR - -

Harmet Prefab OÜ

14938847

77% - 1 936.00 EUR - -

369RING OÜ

16400670

75% - 1 875.00 EUR - -

Financial info

2019
19.10.2020
2020
30.06.2021
2021
27.08.2022
2022
10.07.2023
2023
08.07.2024
2024
30.10.2025
Total Revenue 82 534 840 € 65 773 000 € 65 005 712 € 109 072 200 € 65 242 980 € 28 882 462 €
Net profit (loss) for the period 1 070 273 € 632 455 € -3 352 437 € 530 434 € -5 377 629 € -5 906 703 €
Profit Margin 1% 1% -5% 0% -8% -20%
Current Assets 21 930 216 € 25 614 712 € 27 446 032 € 33 332 846 € 9 784 354 € 8 509 221 €
Fixed Assets 5 715 387 € 3 949 243 € 3 989 487 € 3 794 054 € 3 408 166 € 2 528 340 €
Total Assets 27 645 604 € 29 563 956 € 31 435 520 € 37 126 900 € 13 192 520 € 11 037 561 €
Current Liabilities 10 437 926 € 12 099 573 € 17 687 424 € 23 064 848 € 4 608 090 € 8 406 116 €
Non Current Liabilities 1 123 472 € 747 721 € 383 872 € 167 394 € 167 401 € 121 119 €
Total Liabilities 11 561 398 € 12 847 294 € 18 071 296 € 23 232 242 € 4 775 491 € 8 527 235 €
Share Capital - - - - - -
Equity 16 084 206 € 16 716 661 € 13 364 224 € 13 894 658 € 8 417 029 € 2 510 326 €
Employees - - - - - -

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 26 321 280 € 1 107 198 € 1 761 736 € 404
2025 Q3 16 911 064 € 766 657 € 1 467 513 € 404
2025 Q2 13 024 062 € 1 341 048 € 1 384 369 € 307
2025 Q1 6 062 401 € 1 167 720 € 1 236 289 € 297
2024 Q4 10 996 115 € 963 560 € 1 219 471 € 276
2024 Q3 11 532 756 € 947 280 € 1 115 821 € 276
2024 Q2 7 683 082 € 739 962 € 992 185 € 277
2024 Q1 2 109 342 € 1 198 784 € 1 240 441 € 286
2023 Q4 5 298 003 € 1 533 711 € 1 607 100 € 299
2023 Q3 6 849 355 € 1 357 424 € 1 438 465 € 299
2023 Q2 30 938 636 € 436 253 € 2 039 379 € 492
2023 Q1 34 192 428 € 28 242 € 1 888 668 € 606
2022 Q4 35 230 944 € 0 € 1 874 794 € 586
2022 Q3 30 189 026 € 418 061 € 1 732 621 € 586
2022 Q2 27 137 266 € 0 € 1 661 432 € 548
2022 Q1 24 529 356 € 652 515 € 1 546 998 € 546