Depowise OÜ

16379409

General info

Name

Depowise OÜ

Registry code

16379409

VAT number

EE102440814

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

02.12.2021 (4)

Financial year

01.01-31.12

Capital

11 612.00 €

Activity

62101 - Computer programming activities

Revenue

2 457 045 €

Profit

254 948 €

Profit margin

10%

Gross salary

-

Equity

619 199 €

Employees

-

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

41%

Return on assets

15%

Related parties

Owner Representative Beneficial owner

Omanikukonto: Priit Kongo

- - Indirect ownership

Melanie Corine J. Moos

- Board member -

Omanikukonto: ANTTI OLAVI ROSLAKKA

1% - 99.00 EUR - -

Omanikukonto: Asso Alajaan

0% - 7.00 EUR - -

Triin Tinnuri

0% - 7.00 EUR - -

Omanikukonto: MAIT POSKA

6% - 694.00 EUR Board member Member of a higher management body, i.e. board member or supervisory board member

Osaühing Net Group

10585438

59% - 6 855.00 EUR - -

Omanikukonto: VALERIJA DUDAL

0% - 6.00 EUR - -

Depowise OÜ

16379409

0% - 44.00 EUR - -

Orthodrome OÜ

14182803

0% - 34.00 EUR - -

Omanikukonto: SVEN PEEKMANN

21% - 2 400.00 EUR Board member Member of a higher management body, i.e. board member or supervisory board member

Finanthe OÜ

11166146

0% - 23.00 EUR - -

Omanikukonto: Rain Haabu

0% - 20.00 EUR - -

Erkki Raasuke

1% - 167.00 EUR - -

L&L Invest OÜ

11976497

1% - 167.00 EUR - -

Omanikukonto: Aare-Arnold Äkke

0% - 15.00 EUR - -

Carl-Robert Reidolf

0% - 11.00 EUR - -

ARTUR REITER

9% - 1 042.00 EUR Board member Member of a higher management body, i.e. board member or supervisory board member

Omanikukonto: MAARJA LAOS

0% - 10.00 EUR - -

Helen Vene

0% - 10.00 EUR - -

Innovatiivne Arengupartner OÜ

10887665

0% - 1.00 EUR - -

Related companies

Owner Representative Beneficial owner

Depowise OÜ

16379409

0% - 44.00 EUR - -

Financial info

2022
24.04.2023
2023
05.06.2024
2024
10.06.2025
Total Revenue 872 797 € 1 071 997 € 2 457 045 €
Net profit (loss) for the period -10 760 € 18 211 € 254 948 €
Profit Margin -1% 2% 10%
Current Assets 293 491 € 426 525 € 1 351 584 €
Fixed Assets 255 528 € 263 647 € 336 836 €
Total Assets 549 019 € 690 172 € 1 688 420 €
Current Liabilities 190 979 € 313 921 € 1 069 221 €
Non Current Liabilities - - -
Total Liabilities - - -
Share Capital - - -
Equity 358 040 € 376 251 € 619 199 €
Employees 10 8 -

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 1 810 999 € 189 160 € 207 190 € 25
2025 Q3 1 234 587 € 200 207 € 219 005 € 25
2025 Q2 802 641 € 256 525 € 282 947 € 25
2025 Q1 1 155 712 € 153 771 € 164 450 € 22
2024 Q4 1 274 922 € 114 219 € 121 799 € 19
2024 Q3 724 764 € 110 873 € 118 712 € 19
2024 Q2 544 524 € 99 605 € 103 188 € 14
2024 Q1 651 728 € 110 014 € 93 472 € 12
2023 Q4 279 695 € 73 151 € 73 118 € 9
2023 Q3 220 454 € 79 123 € 75 755 € 9
2023 Q2 347 691 € 78 691 € 73 340 € 9
2023 Q1 253 608 € 91 069 € 77 614 € 9
2022 Q4 294 400 € 89 454 € 72 690 € 11
2022 Q3 139 884 € 65 240 € 73 220 € 11
2022 Q2 193 862 € 87 896 € 71 569 € 11
2022 Q1 110 101 € 36 148 € 23 148 € 11