Osaühing Net Group

10585438

General info

Name

Osaühing Net Group

Registry code

10585438

VAT number

EE100569218

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

14.10.1999 (26)

Financial year

01.01-31.12

Capital

167 736.00 €

Activity

62101 - Computer programming activities 82991 - Other business support service activities n.e.c.

Revenue

9 056 976 €

Profit

573 815 €

Profit margin

6%

Gross salary

-

Equity

6 457 504 €

Employees

-

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

9%

Return on assets

7%

Related parties

Owner Representative Beneficial owner

Omanikukonto: MARGUS KALDMA

- Board member -

Piret Hinnov

- Board member -

Omanikukonto: SVEN PEEKMANN

5% - 9 087.00 EUR Board member -

Omanikukonto: Priit Kongo

52% - 87 434.00 EUR Board member Direct ownership

Osaühing Net Group

10585438

4% - 7 367.00 EUR - -

Omanikukonto: JAAN FELDMANN

33% - 55 810.00 EUR Board member Direct ownership

Omanikukonto: MAREK KIRILLOV

0% - 292.00 EUR - -

Omanikukonto: MIHKEL TIIDUS

0% - 160.00 EUR - -

Vahur Metsala

1% - 1 599.00 EUR - -

Omanikukonto: JAAK LAANPERE

0% - 147.00 EUR - -

Omanikukonto: TÕNIS TUUL

1% - 1 460.00 EUR - -

Sander Sepp

1% - 1 460.00 EUR - -

Karel Meriste

1% - 1 460.00 EUR - -

Omanikukonto: MAARJA LAOS

1% - 1 460.00 EUR - -

Related companies

Owner Representative Beneficial owner

Osaühing Net Group

10585438

4% - 7 367.00 EUR - -

Depowise OÜ

16379409

59% - 6 855.00 EUR - -

AS Synerall

14036817

95% - 4 788 000.00 EUR - -

OÜ Elsavie

14991039

15% - 410.00 EUR - -

outl1ne OÜ

12241097

100% - 3 790.00 EUR - -

Financial info

2019
07.05.2020
2020
05.04.2021
2021
25.03.2022
2022
20.04.2023
2023
12.04.2024
2024
14.04.2025
Total Revenue 8 003 794 € 8 279 453 € 7 799 975 € 8 940 826 € 9 679 651 € 9 056 976 €
Net profit (loss) for the period 674 479 € 683 941 € -150 084 € 192 789 € 474 935 € 573 815 €
Profit Margin 8% 8% -2% 2% 5% 6%
Current Assets 3 045 658 € 3 214 537 € 3 198 190 € 3 053 862 € 3 898 781 € 4 076 813 €
Fixed Assets 4 212 924 € 5 009 983 € 4 630 824 € 4 792 987 € 4 553 906 € 4 432 321 €
Total Assets 7 258 582 € 8 224 520 € 7 829 014 € 7 846 849 € 8 452 687 € 8 509 134 €
Current Liabilities 1 318 809 € 1 595 859 € 1 799 821 € 1 732 741 € 2 014 604 € 2 051 630 €
Non Current Liabilities - - 347 € 0 € - -
Total Liabilities - - 1 800 168 € - - -
Share Capital - - - - - -
Equity 5 939 773 € 6 628 661 € 6 028 846 € 6 114 108 € 6 438 083 € 6 457 504 €
Employees - - - - - -

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 1 771 486 € 801 600 € 602 196 € 77
2025 Q3 1 733 590 € 819 432 € 666 073 € 77
2025 Q2 1 988 685 € 979 304 € 779 846 € 86
2025 Q1 2 227 708 € 816 840 € 597 225 € 88
2024 Q4 2 379 719 € 880 326 € 515 977 € 88
2024 Q3 2 170 645 € 818 714 € 544 259 € 88
2024 Q2 2 287 293 € 1 016 209 € 691 767 € 87
2024 Q1 2 738 540 € 902 484 € 576 858 € 90
2023 Q4 2 347 261 € 878 926 € 583 722 € 94
2023 Q3 2 388 267 € 892 364 € 628 528 € 94
2023 Q2 3 215 645 € 1 081 329 € 678 670 € 100
2023 Q1 2 464 309 € 913 769 € 678 762 € 103
2022 Q4 2 361 578 € 834 848 € 602 834 € 108
2022 Q3 2 244 498 € 839 000 € 623 190 € 108
2022 Q2 1 992 022 € 789 583 € 610 727 € 113
2022 Q1 2 195 932 € 761 735 € 604 609 € 106