Migrevention OÜ

14936768

General info

Name

Migrevention OÜ

Registry code

14936768

VAT number

EE102796241

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

13.03.2020 (6)

Financial year

01.01-31.12

Capital

13 492.00 €

Activity

72101 -

Revenue

46 815 €

Profit

-154 275 €

Profit margin

-330%

Gross salary

2 485 €

(estimate is approximate)

Equity

59 958 €

Employees

4

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-257%

Return on assets

-21%

Related parties

Owner Representative Beneficial owner

Pihuvere Invest OÜ

12930856

1% - 90.00 EUR - -

Hallasan OÜ

11927987

1% - 73.00 EUR - -

OÜ Susilaane

14247164

1% - 73.00 EUR - -

Dreffo OÜ

12911631

1% - 73.00 EUR - -

Einar Roosileht

4% - 544.00 EUR - -

MTÜ EDUMEEL

80606567

0% - 54.00 EUR - -

Uniment Health OÜ

16326531

0% - 54.00 EUR - -

Anvil Consult OÜ

14730972

0% - 41.00 EUR - -

Credence Partner OÜ

12095566

0% - 36.00 EUR - -

OÜ Orion Capital

10779833

0% - 36.00 EUR - -

Osaühing Topmost

11244432

0% - 36.00 EUR - -

Ksenia Dubrovskaja Kapoor

0% - 36.00 EUR - -

HF Ventures I OÜ

16061050

2% - 326.00 EUR - -

OÜ Paradigm Ventures

10983417

0% - 27.00 EUR - -

Bonapis OÜ

16875918

0% - 27.00 EUR - -

DMN Invest OÜ

11561492

2% - 254.00 EUR - -

Katrina Laks

19% - 2 501.00 EUR Board member Direct ownership

Mark Braschinsky

19% - 2 500.00 EUR - Direct ownership

Karl Käis

19% - 2 500.00 EUR - Direct ownership

Triinu Niiberg-Pikksööt

19% - 2 500.00 EUR Board member Direct ownership

Majime Services OÜ

12904296

1% - 200.00 EUR - -

Rosewater OÜ

12522778

1% - 189.00 EUR - -

Omanikukonto: Lauri Käis

0% - 18.00 EUR - -

Tiny Hippo OÜ

12691498

0% - 18.00 EUR - -

Rei Consult OÜ

12969752

0% - 18.00 EUR - -

Progressio OÜ

14369571

0% - 18.00 EUR - -

Kati Toom

1% - 172.00 EUR - -

JLC OÜ

11429479

1% - 125.00 EUR - -

Financial info

2020
29.06.2021
2021
02.07.2022
2022
21.06.2023
2023
03.07.2024
2024
12.06.2025
Total Revenue - 229 € 707 € 14 703 € 46 815 €
Net profit (loss) for the period -11 085 € -42 498 € -131 486 € -176 915 € -154 275 €
Profit Margin - -18558% -18598% -1203% -330%
Current Assets 30 € 284 126 € 36 630 € 44 880 € 14 566 €
Fixed Assets - 127 325 € 447 257 € 668 287 € 729 121 €
Total Assets 30 € 411 451 € 483 887 € 713 167 € 743 687 €
Current Liabilities 1 477 € 50 480 € 88 511 € 134 404 € 205 121 €
Non Current Liabilities 5 087 € 41 698 € 207 589 € 424 530 € 478 608 €
Total Liabilities 6 564 € 92 178 € 296 100 € 558 934 € 683 729 €
Share Capital - - - - -
Equity -6 534 € 319 273 € 187 787 € 154 233 € 59 958 €
Employees 0 1 4 5 4

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 18 550 € 25 933 € 27 091 € 5
2025 Q3 19 687 € 23 958 € 25 518 € 5
2025 Q2 18 761 € 28 874 € 27 954 € 6
2025 Q1 34 133 € 7 211 € 4 285 € 6
2024 Q4 21 421 € 17 689 € 14 533 € 5
2024 Q3 - 9 162 € 9 717 € 5
2024 Q2 - 15 859 € 17 252 € 2
2024 Q1 - 16 508 € 17 775 € 7
2023 Q4 - 16 489 € 17 768 € 6
2023 Q3 - 19 824 € 21 138 € 6
2023 Q2 - 20 821 € 22 203 € 6
2023 Q1 - 15 026 € 16 025 € 7
2022 Q4 - 12 072 € 12 831 € 4
2022 Q3 - 10 122 € 10 717 € 4
2022 Q2 - 8 855 € 9 365 € 3
2022 Q1 - 8 715 € 9 192 € 3