RAIKU Packaging OÜ

16141487

Company info

RAIKU Packaging OÜ

16141487

RAIKUhttps://raiku.coRAIKU

We produce 100% natural, compostable, highly protective and aesthetically beautiful packaging material to substitute single-use plastics.

General info

Name

RAIKU Packaging OÜ

Registry code

16141487

VAT number

EE102434671

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

18.01.2021 (5)

Financial year

01.01-31.12

Capital

4 312.05 €

Activity

32991 - Other manufacturing n.e.c.

Revenue

806 €

Profit

155 561 €

Profit margin

19300%

Gross salary

3 193 €

(estimate is approximate)

Equity

184 725 €

Employees

12

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

84%

Return on assets

53%

Related parties

Owner Representative Beneficial owner

Heikki Tuomas Nousiainen

2% - 88.39 EUR - -

Janno-Joosep Naaber

0% - 8.82 EUR - -

KJ Trading OÜ

11726504

2% - 88.18 EUR - -

Miraki OÜ

16464210

0% - 8.77 EUR - -

Metsamaahalduse Aktsiaselts

10052156

1% - 53.00 EUR - -

Arbuust OÜ

16210277

1% - 44.24 EUR - -

OÜ BENNU

16442102

1% - 43.83 EUR - -

OÜ Laughable Company

10857954

1% - 35.38 EUR - -

SECRET FILM CLUB OÜ

16040875

1% - 35.23 EUR - -

Meediaportaal OÜ

11345506

1% - 35.20 EUR - -

3nigma OÜ

14409371

1% - 29.88 EUR - -

MediCap OÜ

16196703

1% - 26.51 EUR - -

Lean Leader OÜ

11911868

1% - 22.02 EUR - -

Rain Randsberg

42% - 1 822.00 EUR Board member Direct ownership

LAENUPARTNER GRUPP OÜ

14443480

0% - 17.64 EUR - -

Evlik Osaühing

10378685

0% - 17.62 EUR - -

Karl-Joosep Pärtel

41% - 1 750.00 EUR Board member Direct ownership

OÜ Claribel

10891626

3% - 132.37 EUR - -

Financial info

2021
07.07.2022
2022
17.04.2023
2023
12.09.2024
2024
29.07.2025
Total Revenue - 60 € 1 092 € 806 €
Net profit (loss) for the period -380 € -275 993 € -176 510 € 155 561 €
Profit Margin - -459988% -16164% 19300%
Current Assets 2 517 € 196 841 € 44 805 € 279 641 €
Fixed Assets 8 580 € 12 066 € 14 137 € 12 881 €
Total Assets 11 097 € 208 907 € 58 942 € 292 522 €
Current Liabilities 8 977 € 61 733 € 88 278 € 107 797 €
Non Current Liabilities - - - -
Total Liabilities - - - -
Share Capital - - - -
Equity 2 120 € 147 174 € -29 336 € 184 725 €
Employees 0 5 8 12

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 17 230 € 73 620 € 79 477 € 24
2025 Q3 21 976 € 81 344 € 85 865 € 24
2025 Q2 66 246 € 68 963 € 74 639 € 24
2025 Q1 20 202 € 61 579 € 66 351 € 19
2024 Q4 14 948 € 64 061 € 68 540 € 17
2024 Q3 19 428 € 65 863 € 70 340 € 17
2024 Q2 309 374 € 51 995 € 55 734 € 13
2024 Q1 3 155 € 33 207 € 35 701 € 9
2023 Q4 477 € 30 903 € 33 236 € 8
2023 Q3 23 484 € 32 028 € 34 371 € 8
2023 Q2 8 759 € 30 549 € 32 729 € 8
2023 Q1 2 763 € 26 817 € 28 770 € 8
2022 Q4 6 645 € 20 040 € 21 570 € 7
2022 Q3 8 908 € 11 202 € 12 155 € 7
2022 Q2 5 860 € 9 312 € 10 107 € 5
2022 Q1 9 122 € - - 5