Beamline OÜ

16246810

General info

Name

Beamline OÜ

Registry code

16246810

VAT number

EE102668162

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

07.06.2021 (4)

Financial year

01.01-31.12

Capital

25 000.00 €

Activity

70201 - 66301 - Fund management activities

Revenue

950 054 €

Profit

-25 420 €

Profit margin

-3%

Gross salary

2 534 €

(estimate is approximate)

Equity

121 312 €

Employees

4

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-21%

Return on assets

-3%

Related parties

Owner Representative Beneficial owner

Indrek Kelder

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

Beamline OÜ

16246810

33% - 8 333.33 EUR - -

Yks Pisike OÜ

12201650

29% - 7 247.32 EUR - -

3nigma OÜ

14409371

17% - 4 166.67 EUR - -

Green Zebras OÜ

16236839

11% - 2 751.82 EUR - -

OÜ Kollane Zebra

16237661

5% - 1 250.43 EUR - -

Amella OÜ

16237566

5% - 1 250.43 EUR - -

Related companies

Owner Representative Beneficial owner

Beamline 2 Usaldusfond

16591233

- Parts registrar -

Beamline 3 Usaldusfond

16609816

- Parts registrar -

EcothermiQ OÜ

17172411

- Contact person -

Reblade Estonia OÜ

17203687

- Contact person -

Beamline 4 Usaldusfond

16698347

- Fund manager -

Beamline OÜ

16246810

33% - 8 333.33 EUR - -

ARI CARE OÜ

16142831

2% - 287.58 EUR - -

Beamline 2 OÜ

16628479

100% - 2 500.00 EUR - -

Beamline 3 OÜ

16604024

100% - 2 500.00 EUR - -

Trashify Tech OÜ

16495334

5% - 131.58 EUR - -

Beamline 4 OÜ

16692046

80% - 100.00 EUR - -

Beamline 4 SPV OÜ

17320513

100% - 1.00 EUR - -

Financial info

2021
01.07.2022
2022
30.06.2023
2023
16.08.2024
2024
09.07.2025
Total Revenue 10 000 € 285 600 € 177 725 € 950 054 €
Net profit (loss) for the period 9 946 € 28 716 € -47 080 € -25 420 €
Profit Margin 99% 10% -26% -3%
Current Assets 152 980 € 806 162 € 354 744 € 254 658 €
Fixed Assets - 6 000 € 355 408 € 485 989 €
Total Assets 152 980 € 812 162 € 710 152 € 740 647 €
Current Liabilities - - 271 361 € 382 643 €
Non Current Liabilities 37 884 € 273 350 € 292 059 € 236 692 €
Total Liabilities - - 563 420 € 619 335 €
Share Capital - - - -
Equity 115 096 € 538 812 € 146 732 € 121 312 €
Employees 0 0 2 4

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 3 342 € 0 € 19 120 € 4
2025 Q3 340 702 € 95 751 € 24 156 € 4
2025 Q2 222 476 € 75 662 € 30 276 € 4
2025 Q1 124 083 € 17 189 € 18 658 € 5
2024 Q4 204 384 € 33 651 € 18 810 € 5
2024 Q3 500 679 € 111 606 € 14 400 € 5
2024 Q2 0 € 13 475 € 14 433 € 4
2024 Q1 1 000 € 10 404 € 11 201 € 4
2023 Q4 310 591 € 69 383 € 8 063 € 3
2023 Q3 - 5 385 € 5 838 € 3
2023 Q2 - 8 861 € 9 606 € 2
2023 Q1 - - - 2