Nordic Rebar OÜ

14492018

Company info

Nordic Rebar OÜ

14492018

Kvaliteetsed ja kauakestvad armatuurterasest tooted | Rebarhttp://www.rebar.oneKvaliteetsed ja kauakestvad armatuurterasest tooted | Rebar

Nordic Rebar - Toodame laias valikus armatuurterasest tooteid. Oma tegevuses oleme kindlalt pühendunud jätkusuutlikule arengule.

General info

Name

Nordic Rebar OÜ

Registry code

14492018

VAT number

EE102071490

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

21.05.2018 (7)

Financial year

01.01-31.12

Capital

285 690.00 €

Activity

25119 - Manufacture of other metal structures and parts of structures

Revenue

4 266 146 €

Profit

-893 757 €

Profit margin

-21%

Gross salary

3 702 €

(estimate is approximate)

Equity

-1 500 589 €

Employees

13

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

60%

Return on assets

-91%

Related parties

Owner Representative Beneficial owner

Toomas Tõldsepp

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

Mario Jürimäe

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

Mihkel Niinemäe

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

Osaühing Davecom

10687955

26% - 74 190.00 EUR - -

Marel Grupp OÜ

11723181

18% - 51 000.00 EUR - -

Waiper Invest OÜ

14192842

56% - 160 500.00 EUR - -

Financial info

2019
15.06.2020
2020
23.02.2021
2021
21.06.2022
2022
06.04.2023
2023
19.06.2024
2024
04.11.2025
Total Revenue 1 365 291 € 1 655 239 € 2 892 416 € 8 183 969 € 3 536 437 € 4 266 146 €
Net profit (loss) for the period -369 241 € -512 988 € -71 142 € 26 590 € -1 279 311 € -893 757 €
Profit Margin -27% -31% -2% 0% -36% -21%
Current Assets 198 679 € 239 449 € 398 175 € 1 934 410 € 632 610 € 450 686 €
Fixed Assets 1 226 614 € 954 995 € 655 432 € 684 731 € 725 595 € 534 153 €
Total Assets 1 425 293 € 1 194 444 € 1 053 607 € 2 619 141 € 1 358 205 € 984 839 €
Current Liabilities 455 671 € 702 935 € 908 208 € 2 246 717 € 2 020 852 € 1 309 535 €
Non Current Liabilities 938 871 € 973 746 € 147 611 € 348 046 € 592 285 € 1 175 893 €
Total Liabilities 1 394 542 € 1 676 681 € 1 055 819 € 2 594 763 € 2 613 137 € 2 485 428 €
Share Capital - - - - - -
Equity 30 751 € -482 237 € -2 212 € 24 378 € -1 254 932 € -1 500 589 €
Employees 8 17 15 15 13 13

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 943 143 € 81 150 € 86 698 € 16
2025 Q3 826 978 € 75 734 € 79 396 € 16
2025 Q2 1 312 625 € 96 150 € 100 108 € 14
2025 Q1 1 072 791 € 10 035 € 47 269 € 15
2024 Q4 1 253 660 € 32 944 € 58 164 € 18
2024 Q3 1 378 690 € 71 683 € 74 953 € 18
2024 Q2 1 056 929 € 72 911 € 75 901 € 13
2024 Q1 1 900 112 € 74 390 € 77 154 € 13
2023 Q4 666 423 € 71 437 € 74 517 € 12
2023 Q3 661 655 € 69 635 € 72 297 € 12
2023 Q2 935 583 € 74 307 € 78 294 € 13
2023 Q1 366 355 € 68 555 € 70 839 € 14
2022 Q4 769 404 € 117 546 € 57 679 € 14
2022 Q3 1 935 315 € 416 948 € 26 857 € 14
2022 Q2 4 842 267 € 207 194 € 70 244 € 15
2022 Q1 610 893 € 50 439 € 52 853 € 22