AS Go Group

11071150

General info

Name

AS Go Group

Registry code

11071150

VAT number

EE100932816

Type

AS - Joint Stock Company

Status

Registered

Foundation date

28.09.2004 (21)

Financial year

01.01-31.12

Capital

42 280.00 €

Activity

70101 - Activities of head offices 69202 - Bookkeeping, tax consulting 61901 - Other electronical communications services 69102 - Activities of legal counsels and law offices 62202 - 70201 -

Revenue

1 853 200 €

Profit

1 149 119 €

Profit margin

62%

Gross salary

-

Equity

40 687 560 €

Employees

-

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

3%

Return on assets

2%

Related parties

Owner Representative Beneficial owner

Tiit Pruuli

- - Indirect ownership

Marcel Vichmann

- - Indirect ownership

Jüri Etverk

- Board member -

Osaühing Moonrider

10727111

34% - 14 280.00 EUR - -

Muinasjutukuningas OÜ

12087874

31% - 13 160.00 EUR - -

Hoiupanga Töötajate Aktsiaselts

10278883

28% - 12 040.00 EUR - -

Related companies

Owner Representative Beneficial owner

AS GoTravel

10113159

100% - 80 000.00 EUR - -

OÜ GoHotels

11082171

100% - 70 000.00 EUR - -

AS GoProperty

10786964

100% - 652 000.00 EUR - -

AS Go Oil

11108522

100% - 640 000.00 EUR - -

OÜ GoTaksopark

11320860

75% - 4 794.00 EUR - -

Edelaraudtee aktsiaselts

10786958

100% - 274 820.00 EUR - -

Osaühing GoTrack

11109214

100% - 2 556.00 EUR - -

OÜ Rävala Kaheksa

11258322

100% - 2 550.00 EUR - -

Rävala Galleries OÜ

12675795

100% - 2 550.00 EUR - -

OÜ GoCraft

16872860

100% - 25 000.00 EUR - -

AS GoRail

10541949

100% - 25 000.00 EUR - -

OÜ GoWire

12267949

100% - 2 500.00 EUR - -

OÜ RealWAY Holding

17156427

100% - 2 500.00 EUR - -

OÜ GoForward

14127477

90% - 2 250.00 EUR - -

AS GoBus

10085032

100% - 1 917 000.00 EUR - -

OÜ GoSPV-Jaht

17263844

100% - 1.00 EUR - -

Financial info

2019
30.06.2020
2020
30.06.2021
2021
30.06.2022
2022
30.06.2023
2023
28.06.2024
2024
30.06.2025
Total Revenue 1 190 428 € 1 005 317 € 1 095 837 € 1 089 587 € 1 718 787 € 1 853 200 €
Net profit (loss) for the period 264 439 € -977 443 € 3 552 509 € -3 527 580 € -4 093 113 € 1 149 119 €
Profit Margin 22% -97% 324% -324% -238% 62%
Current Assets 31 521 560 € 27 421 804 € 12 979 661 € 11 958 153 € 7 397 400 € 10 268 335 €
Fixed Assets 25 190 404 € 26 467 436 € 44 479 800 € 39 678 400 € 54 492 288 € 52 857 064 €
Total Assets 56 711 960 € 53 889 240 € 57 459 464 € 51 636 552 € 61 889 688 € 63 125 400 €
Current Liabilities 6 525 805 € 4 172 187 € 4 316 377 € 2 447 412 € 892 525 € 2 981 589 €
Non Current Liabilities 2 076 320 € 2 584 659 € 2 458 182 € 2 031 816 € 21 733 544 € 19 456 250 €
Total Liabilities 8 602 125 € 6 756 846 € 6 774 559 € 4 479 228 € 22 626 069 € 22 437 839 €
Share Capital 25 565 € 25 565 € 25 565 € 25 565 € 25 565 € 42 280 €
Equity 48 109 836 € 47 132 392 € 50 684 904 € 47 157 324 € 39 263 620 € 40 687 560 €
Employees - - - - - -

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 524 351 € 176 380 € 101 328 € 18
2025 Q3 461 751 € 164 595 € 101 284 € 18
2025 Q2 513 283 € 164 695 € 102 281 € 18
2025 Q1 461 638 € 164 532 € 112 582 € 18
2024 Q4 533 129 € 162 975 € 99 832 € 18
2024 Q3 418 372 € 126 704 € 94 013 € 18
2024 Q2 460 452 € 135 442 € 91 922 € 18
2024 Q1 434 991 € 134 836 € 99 796 € 17
2023 Q4 544 063 € 145 621 € 84 880 € 17
2023 Q3 404 603 € 136 104 € 84 452 € 17
2023 Q2 414 884 € 135 742 € 78 097 € 17
2023 Q1 298 557 € 94 460 € 74 290 € 17
2022 Q4 264 781 € 101 476 € 73 119 € 16
2022 Q3 262 677 € 93 875 € 67 057 € 16
2022 Q2 278 831 € 103 655 € 69 923 € 16
2022 Q1 296 413 € 97 594 € 76 400 € 17