LEONHARD WEISS OÜ

12083348

General info

Name

LEONHARD WEISS OÜ

Registry code

12083348

VAT number

EE101756486

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

30.03.2011 (15)

Financial year

01.01-31.12

Capital

210 000.00 €

Activity

42221 - Construction of utility projects for electricity and telecommunications 42131 - Construction of bridges and tunnels 42121 - Construction, maintenance and repair of railways and underground railways 71121 - Constructional engineering-technical designing and consulting 42991 - Construction of other civil engineering projects n.e.c.

Revenue

130 129 936 €

Profit

6 217 647 €

Profit margin

5%

Gross salary

2 929 €

(estimate is approximate)

Equity

24 978 748 €

Employees

457

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

25%

Return on assets

9%

Related parties

Owner Representative Beneficial owner

Rainer Järv

- Procurator -

Aleksei Dohin

- Procurator -

Indrek Rätsep

- Procurator -

Indrek Kaliste

- Board member -

Kalle Kask

- Board member -

Mait Kesküll

- Board member -

Related companies

Owner Representative Beneficial owner

LEONHARD WEISS VIATER OÜ

10406105

100% - 320 000.00 EUR - -

Harku Sindi JV OÜ

14415532

50% - 1 250.00 EUR - -

Financial info

2019
30.06.2020
2020
30.06.2021
2021
30.06.2022
2022
30.06.2023
2023
30.06.2024
2024
30.06.2025
Total Revenue 72 747 970 € 85 959 000 € 52 935 056 € 73 898 784 € 108 215 224 € 130 129 936 €
Net profit (loss) for the period 1 756 915 € 2 561 818 € 2 585 470 € 1 570 921 € 3 653 320 € 6 217 647 €
Profit Margin 2% 3% 5% 2% 3% 5%
Current Assets 23 395 224 € 30 073 880 € 33 155 832 € 30 214 852 € 49 122 984 € 45 767 756 €
Fixed Assets 15 758 712 € 16 157 954 € 16 541 491 € 21 526 442 € 21 702 940 € 22 900 728 €
Total Assets 39 153 936 € 46 231 832 € 49 697 320 € 51 741 296 € 70 825 920 € 68 668 480 €
Current Liabilities 15 198 245 € 21 876 448 € 22 169 610 € 23 314 504 € 38 447 332 € 30 043 486 €
Non Current Liabilities 21 576 116 € 19 413 996 € 20 000 852 € 19 329 008 € 13 617 490 € 13 646 249 €
Total Liabilities 36 774 361 € 41 290 444 € 42 170 462 € 42 643 512 € 52 064 822 € 43 689 735 €
Share Capital - - - - - -
Equity 2 379 573 € 4 941 391 € 7 526 861 € 9 097 782 € 18 761 102 € 24 978 748 €
Employees 412 417 402 416 437 457

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 37 308 832 € 6 325 527 € 1 922 125 € 392
2025 Q3 28 087 732 € 3 560 833 € 2 036 227 € 392
2025 Q2 26 379 744 € 3 467 780 € 2 370 793 € 417
2025 Q1 24 460 480 € 3 035 134 € 1 938 486 € 420
2024 Q4 32 436 220 € 3 928 688 € 1 739 315 € 416
2024 Q3 27 605 036 € 2 851 562 € 1 777 731 € 416
2024 Q2 38 562 264 € 4 037 761 € 1 926 339 € 421
2024 Q1 38 331 944 € 4 121 014 € 1 674 036 € 406
2023 Q4 40 489 340 € 3 803 528 € 1 564 435 € 403
2023 Q3 26 726 960 € 3 029 014 € 1 543 171 € 403
2023 Q2 10 907 354 € 2 103 173 € 1 500 612 € 392
2023 Q1 15 480 088 € 2 312 093 € 1 352 616 € 384
2022 Q4 16 276 260 € 1 940 787 € 1 359 712 € 395
2022 Q3 19 579 348 € 2 174 394 € 1 289 399 € 395
2022 Q2 14 044 182 € 1 679 477 € 1 276 962 € 366
2022 Q1 10 677 221 € 1 978 222 € 1 124 103 € 359