FUNDVEST OÜ

14918954

General info

Name

FUNDVEST OÜ

Registry code

14918954

VAT number

EE102321030

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

25.02.2020 (6)

Financial year

01.01-31.12

Capital

4 643.73 €

Activity

64991 - Other financial service activities, except insurance and pension funding n.e.c.

Revenue

1 671 €

Profit

-239 818 €

Profit margin

-14352%

Gross salary

943 €

(estimate is approximate)

Equity

-8 026 €

Employees

1

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

2988%

Return on assets

-18%

Related parties

Owner Representative Beneficial owner

Martinš Untals

- Board member -

Getri Mitt

0% - 8.73 EUR - -

Omanikukonto: MARTINŠ UNTALS

19% - 861.52 EUR - -

Sander Siim Vaher

17% - 773.54 EUR Board member -

OÜ Blake Group

12563085

1% - 53.80 EUR - -

Affiliate Services OÜ

16221281

1% - 51.05 EUR - -

Osaühing Storensen

11096598

10% - 443.99 EUR - -

JHA Assets OÜ

14944124

1% - 43.04 EUR - -

OÜ PÕLDE TRAKTOR

11059427

1% - 43.04 EUR - -

Estar Eesti Kergetööstuse Osaühing

10175261

1% - 43.04 EUR - -

L-Kapital OÜ

12366640

1% - 38.00 EUR - -

RAINELA LASTEKAUPADE osaühing

10069501

0% - 3.80 EUR - -

Smiley Capital OÜ

16574708

7% - 333.47 EUR - -

Marti Küttis

1% - 26.89 EUR - -

Tiidupoeg OÜ

12331067

1% - 25.84 EUR - -

Omanikukonto: Egon Orav

5% - 248.92 EUR - -

Omanikukonto: TOMY BONIFAS BOSCO

0% - 21.52 EUR - -

Omanikukonto: Bruno Pähkel

0% - 21.52 EUR - -

Omanikukonto: Ottomar Paeväli

4% - 175.86 EUR Board member -

Taavi Tuulsalu

0% - 17.47 EUR - -

FUNDVEST OÜ

14918954

3% - 156.88 EUR - -

Leetberg OÜ

12440448

0% - 13.45 EUR - -

OÜ Skywood

11437556

3% - 122.30 EUR - -

Rasmus Klaassen

24% - 1 105.30 EUR Board member Direct ownership

Hexoia OÜ

12554123

0% - 10.76 EUR - -

Related companies

Owner Representative Beneficial owner

FUNDVEST OÜ

14918954

3% - 156.88 EUR - -

Financial info

2020
30.06.2021
2021
28.06.2022
2022
30.06.2023
2023
30.06.2024
2024
07.07.2025
Total Revenue - - - 3 410 € 1 671 €
Net profit (loss) for the period -3 739 € -27 950 € -249 060 € -439 118 € -239 818 €
Profit Margin - - - -12877% -14352%
Current Assets 177 696 € 10 311 € 27 033 € 21 617 € 3 926 €
Fixed Assets 9 240 € 266 066 € 724 748 € 1 087 236 € 1 343 427 €
Total Assets 186 936 € 276 377 € 751 781 € 1 108 853 € 1 347 353 €
Current Liabilities 19 550 € 43 541 € 447 521 € 805 871 € 1 289 479 €
Non Current Liabilities 0 € 93 400 € 93 400 € 90 900 € 65 900 €
Total Liabilities - 136 941 € 540 921 € 896 771 € 1 355 379 €
Share Capital - - - - -
Equity 167 386 € 139 436 € 210 860 € 212 082 € -8 026 €
Employees 0 0 3 4 1

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 0 € 1 € 0 € -
2025 Q3 1 460 € 1 893 € 2 151 € -
2025 Q2 3 899 € 620 € 847 € 1
2025 Q1 11 252 € 1 130 € 1 338 € 1
2024 Q4 6 541 € 1 063 € 1 195 € 1
2024 Q3 8 045 € 1 176 € 1 308 € 1
2024 Q2 9 380 € 854 € 1 308 € 1
2024 Q1 7 273 € 885 € 1 924 € 1
2023 Q4 16 825 € 0 € 2 040 € 1
2023 Q3 10 034 € 30 705 € 30 309 € 1
2023 Q2 17 113 € 6 898 € 14 067 € 5
2023 Q1 12 593 € 11 514 € 16 652 € 6
2022 Q4 1 279 € 1 251 € 15 917 € 5
2022 Q3 1 120 € 0 € 9 063 € 5
2022 Q2 321 € 0 € 0 € 3
2022 Q1 150 € - - -