Roofit Solar Energy OÜ

12978418

General info

Name

Roofit Solar Energy OÜ

Registry code

12978418

VAT number

EE101855934

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

14.01.2016 (10)

Financial year

01.01-31.12

Capital

17 400.00 €

Activity

26111 - Manufacture of electronic components  

Revenue

4 359 456 €

Profit

-2 232 587 €

Profit margin

-51%

Gross salary

-

Equity

1 497 007 €

Employees

-

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-149%

Return on assets

-57%

Related parties

Owner Representative Beneficial owner

Andres Anijalg

- Board member Member of a higher management body, i.e. board member or supervisory board member

Osalus OÜ

16117112

0% - 86.00 EUR - -

HTB INVESTEERINGUTE OÜ

10392018

4% - 751.00 EUR - -

EigenKapital OÜ

14655748

3% - 561.00 EUR - -

Aktsiaselts Eesti Talleks

10280727

3% - 541.00 EUR - -

M-Meedia OÜ

10690922

3% - 500.00 EUR - -

Singelton OÜ

11119224

3% - 450.00 EUR - -

Greenfield Capital OÜ

12271721

0% - 43.00 EUR - -

Jupiter OÜ

12113554

0% - 43.00 EUR - -

Auditoorium OÜ

14036183

2% - 400.00 EUR - -

Iryna Rußbüldt

2% - 400.00 EUR - -

Tristen Trade Investment OÜ

16180056

19% - 3 381.00 EUR - -

Skaala Investments OÜ

11168790

2% - 337.00 EUR - -

Usaldusfond Spring Capital Growth Fund 1

14538401

2% - 269.00 EUR - -

Kelnase Holding Company OÜ

14023074

1% - 223.00 EUR - -

JMB Investeeringute OÜ

10434320

12% - 2 134.00 EUR - -

Helmes Investments OÜ

14720132

1% - 202.00 EUR - -

Synenergy OÜ

14361291

11% - 1 991.00 EUR - -

osaühing Finantsvara

10618505

11% - 1 941.00 EUR - -

PRAVI INVESTEERINGUD OÜ

10843917

1% - 177.00 EUR - -

Financial info

2019
21.09.2020
2020
30.06.2021
2021
11.10.2022
2022
30.06.2023
2023
04.10.2024
2024
30.06.2025
Total Revenue 265 306 € 1 140 376 € 1 226 903 € 3 421 415 € 4 362 381 € 4 359 456 €
Net profit (loss) for the period -700 346 € -1 118 714 € -1 884 867 € -3 381 333 € -5 963 031 € -2 232 587 €
Profit Margin -264% -98% -154% -99% -137% -51%
Current Assets 832 194 € 858 225 € 4 762 911 € 4 481 686 € 5 567 049 € 3 644 587 €
Fixed Assets 224 439 € 346 076 € 598 531 € 894 540 € 467 529 € 270 094 €
Total Assets 1 056 633 € 1 204 301 € 5 361 442 € 5 376 226 € 6 034 578 € 3 914 681 €
Current Liabilities 290 409 € 543 586 € 577 413 € 1 333 990 € 825 781 € 530 115 €
Non Current Liabilities 7 333 € 3 333 € 213 925 € 805 090 € 1 307 141 € 1 887 559 €
Total Liabilities 297 742 € 546 919 € 791 338 € 2 139 080 € 2 132 922 € 2 417 674 €
Share Capital - - - - - -
Equity 758 891 € 657 382 € 4 570 104 € 3 237 146 € 3 901 656 € 1 497 007 €
Employees 16 19 29 - - -

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 1 249 178 € 275 405 € 160 125 € 23
2025 Q3 1 547 969 € 271 808 € 152 288 € 23
2025 Q2 1 430 897 € 188 200 € 152 173 € 21
2025 Q1 991 220 € 227 998 € 208 676 € 21
2024 Q4 1 371 670 € 167 458 € 178 471 € 27
2024 Q3 1 389 755 € 256 555 € 261 405 € 27
2024 Q2 926 097 € 217 776 € 230 204 € 39
2024 Q1 981 362 € 252 613 € 263 733 € 41
2023 Q4 937 073 € 248 363 € 264 419 € 44
2023 Q3 1 508 454 € 320 403 € 330 912 € 44
2023 Q2 1 423 514 € 275 985 € 293 143 € 56
2023 Q1 823 727 € 293 357 € 310 775 € 61
2022 Q4 1 481 001 € 203 527 € 217 721 € 54
2022 Q3 804 468 € 218 219 € 230 910 € 54
2022 Q2 882 545 € 149 451 € 160 500 € 42
2022 Q1 765 012 € 146 312 € 153 791 € 38