Aktsiaselts Merko Ehitus Eesti

12203636

Company info

Aktsiaselts Merko Ehitus Eesti

12203636

Avaleht — Merkohttps://www.merko.eeAvaleht — Merko

Otsid uut kodu või äripinda? Kavandame põhjalikult, kaasame parimad partnerid ja ehitame kõik valmis. Olgu see korter või äripind, Tallinnas, Tartus või Jüris – Merko loob keskkonna, milles on hea olla. Külas Merko kodudes Oleme lahti veeretanud uue projekti „Külas Merko kodudes“ ning suur rõõm on seda teha koos Anna-Maria ja tema imeilusa Uus-Veerenni kodu ...

General info

Name

Aktsiaselts Merko Ehitus Eesti

Registry code

12203636

VAT number

EE101503998

Type

AS - Joint Stock Company

Status

Registered

Foundation date

09.12.2011 (12)

Financial year

01.01-31.12

Capital

20 100 000.00 €

Activity

4221 - Construction of utility projects for fluids 41201 - Construction of residential and non-residential buildings 42991 - Construction of other civil engineering projects n.e.c.

Revenue

177 396 000 €

Profit

17 995 000 €

Profit margin

10%

Gross salary

-

Equity

79 072 000 €

Employees

312

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

23%

Return on assets

11%

Related parties

Owner Representative Beneficial owner Roles

Aktsiaselts MERKO EHITUS

11520257

100% - 20 100 000.00 EUR - - FounderShareholder

Jaan Mäe

26.09.1964 (59)

- Board member -

Veljo Viitmann

13.03.1962 (62)

- Board member -

Toomas Annus

05.10.1960 (63)

- - Indirect ownership

Ivo Volkov

13.05.1976 (48)

- - - Board member

Tõnu Toomik

08.03.1961 (63)

- - - Board member

Martin Rebane

05.04.1988 (36)

- - - Board member

Related companies

Owner Representative Beneficial owner Roles

OSAÜHING TÄHELINNA KINNISVARA

10723293

100% - 8 000.00 EUR - -

AS Connecto Eesti

10722319

50% - 479 337.36 EUR - - Shareholder

OÜ MERKO KAEVANDUSED

14872152

100% - 3 000.00 EUR - - Founder

Bauwise OÜ

14355899

5% - 157.48 EUR - -

OÜ Vahi Lastehoid

14747524

- - - Founder

Financial info

2020
14.05.2021
2021
03.05.2022
2022
19.05.2023
Total Revenue 178 972 000 € 181 763 000 € 177 396 000 €
Net profit (loss) for the period 11 962 000 € 24 125 000 € 17 995 000 €
Profit Margin 7% 13% 10%
Current Assets 101 501 000 € 104 168 000 € 144 885 000 €
Fixed Assets 18 763 000 € 15 759 000 € 21 749 000 €
Total Assets 120 264 000 € 119 927 000 € 166 634 000 €
Current Liabilities 38 831 000 € 48 387 000 € 75 308 000 €
Non Current Liabilities 6 602 000 € 5 087 000 € 12 254 000 €
Total Liabilities 45 433 000 € 53 474 000 € 87 562 000 €
Share Capital 20 100 000 € 20 100 000 € 20 100 000 €
Equity 74 831 000 € 66 453 000 € 79 072 000 €
Employees 431 316 312

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2023 Q4 68 878 269.74 € 6 394 426.22 € 2 063 568.75 € 294
2023 Q3 98 421 153.13 € 10 161 983.3 € 2 210 184.69 € 313
2023 Q2 70 312 083.1 € 7 608 733.83 € 3 018 374.6 € 324
2023 Q1 52 619 585.83 € 4 716 603.6 € 2 461 067.02 € 319
2022 Q4 52 049 432.33 € 2 656 753.04 € 1 866 559.55 € 321
2022 Q3 43 914 535.68 € 3 696 138.12 € 1 985 236.57 € 323
2022 Q2 44 443 954.38 € 2 847 887.37 € 3 007 924.38 € 322
2022 Q1 41 934 765.26 € 4 472 798.08 € 1 998 525.96 € 314
2021 Q4 59 196 887.93 € 5 664 319.76 € 1 667 232 € 308
2021 Q3 40 226 247.29 € 1 706 381.84 € 1 602 110.89 € 310
2021 Q2 44 075 626.65 € 4 242 314.92 € 2 121 999.47 € 310
2021 Q1 40 747 906.38 € 4 829 675.98 € 1 915 523.84 € 304
2020 Q4 49 121 712.08 € 5 865 645.57 € 1 410 034.69 € 302
2020 Q3 31 911 064.7 € 2 830 714.95 € 1 544 979.66 € 296
2020 Q2 20 227 548.83 € 2 131 884.44 € 2 252 994.72 € 291
2020 Q1 36 790 925.65 € 4 867 623.47 € 2 042 118.86 € 302