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ResumenLegal y estadoLínea temporalRedPropiedad y gestiónAccionistasBeneficiario finalGeografíaFinanzasSalud financieraDocumentos

Eventus Ehitus OÜ

🇪🇪Estonia•Osaühing•Activa

Resumen

País🇪🇪Estonia
EstadoActiva
Número de registro11179025
Fundada18/10/2005
DirecciónPärnu Mnt 141, Kesklinna Linnaosa, Tallinn, Harju Maakond, Tallinn, Harju Maakond, 11314

Legal y estado

Forma legalOsaühing
EstadoActiva
Fecha de registro18/10/2005
Autoridad registralEstonian Business Register / Äriregister
Capital registrado124.359

Fuente: Estonia RIK · Última actualización: 24/4/2026

Línea temporal (2 eventos)

24/4/2026

Forma legal cambiada

→ Osaühing

18/10/2005

Empresa constituida

Fecha de constitución: 2005-10-18

Red

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Profundidad de la red

Propiedad y gestión

Persons with significant control

Lauri Kaska

Persona con control significativo

Nombrado el: 5/9/2018

—
Guido Kundla

Persona con control significativo

Nombrado el: 5/9/2018

—

Línea temporal de propiedad (2 cambios)

5/9/2018

Nombramiento Lauri Kaska (persona)

Persona con control significativo

5/9/2018

Nombramiento Guido Kundla (persona)

Persona con control significativo

Accionistas

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Beneficiario final

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Geografía

Sede

Pärnu Mnt 141

Kesklinna Linnaosa, Tallinn, Harju Maakond

Tallinn

Harju Maakond

11314

Finanzas

Cifras clave de cuentas anuales.

Convertir a

2019

Facturación: €20.8M

Cifras clave

Facturación

2019€20.839.558
2020€20.073.825
2021€28.756.725
2022€37.218.096
2023€31.052.572
2024€33.917.128

Revenue

2019€20.839.558
2020€20.073.825
2021€28.756.725
2022€37.218.096
2023€31.052.572
2024€33.917.128

Beneficio / (pérdida)

2019€1.002.977
2020€1.434.733
2021€1.840.941
2022€1.787.650
2023€2.013.945
2024€2.610.463

Activo total

2019€6.076.522
2020€8.197.110
2021€9.053.379
2022€9.648.957
2023€11.649.551
2024€11.365.833

Equity

2019€3.227.776
2020€4.030.928
2021€4.514.676
2022€5.046.068
2023€5.594.802
2024€6.561.394

Share Capital

2019€138.000
2020€124.359
2021€124.359
2022€124.359
2023€124.359
2024€124.359

Current Assets

2019€4.029.791
2020€4.649.609
2021€5.687.341
2022€6.213.013
2023€7.640.627
2024€4.725.533

Gastos administrativos

2019€-984.493
2020€-1.122.845
2021€-1.220.606
2022€-1.435.700
2023€-1.586.522
2024€-1.784.396

Assets

2019€6.076.522
2020€8.197.110
2021€9.053.379
2022€9.648.957
2023€11.649.551
2024€11.365.833

Assets Consolidated

2019€6.078.328
2020€8.198.713
2021€9.923.014
2022€9.844.679
2023€11.805.948
2024€11.424.690

Average Number Of Employees In Full Time Equivalent Units Consolidated

201921
202019
202121
202221
202322
202423

Cash And Cash Equivalents

2019€1.550.718
2020€1.706.729
2021€979.424
2022€2.121.033
2023€1.759.410
2024€1.260.071

Cash And Cash Equivalents Consolidated

2019€1.552.858
2020€1.737.861
2021€1.768.761
2022€2.889.454
2023€1.887.679
2024€1.764.026

Current Assets Consolidated

2019€4.509.796
2020€7.426.465
2021€7.489.274
2022€6.913.431
2023€8.673.592
2024€7.227.712

Current Liabilities

2019€2.839.535
2020€4.166.182
2021€4.538.703
2022€4.589.738
2023€6.045.027
2024€4.798.262

Current Liabilities Consolidated

2019€2.841.341
2020€4.167.785
2021€4.540.649
2022€4.591.449
2023€6.050.193
2024€4.851.030

Depreciation And Impairment Loss Reversal

2019€-13.132
2020€-12.904
2021€-11.139
2022€-12.314
2023€-16.665
2024€-11.358

Depreciation And Impairment Loss Reversal Consolidated

2019€-13.132
2020€-12.904
2021€-11.139
2022€-12.314
2023€-16.665
2024€-11.358

Depreciation And Impairment Loss Reversal Neg

2019€13.132
2020€12.904
2021€11.139
2022€12.314
2023€16.665
2024€11.358

Depreciation And Impairment Loss Reversal Neg Consolidated

2019€13.132
2020€12.904
2021€11.139
2022€12.314
2023€16.665
2024€11.358

Employee Expense

2019€-984.493
2020€-1.122.845
2021€-1.220.606
2022€-1.435.700
2023€-1.586.522
2024€-1.784.396

Employee Expense Consolidated

2019€-984.493
2020€-1.122.845
2021€-1.220.606
2022€-1.435.700
2023€-1.586.522
2024€-1.784.396

Equity Consolidated

2019€3.227.776
2020€4.030.928
2021€5.024.298
2022€5.010.045
2023€5.596.033
2024€6.567.483

Issued Capital

2019€138.000
2020€124.359
2021€124.359
2022€124.359
2023€124.359
2024€124.359

Issued Capital Consolidated

2019€138.000
2020€124.359
2021€124.359
2022€124.359
2023€124.359
2024€124.359

Labor Expense Consolidated

2019€984.493
2020€1.122.845
2021€1.220.606
2022€1.435.700
2023€1.586.522
2024€1.784.396

Non Current Assets

2019€2.046.731
2020€3.547.501
2021€3.366.038
2022€3.435.944
2023€4.008.924
2024€6.640.300

Non Current Assets Consolidated

2019€1.568.532
2020€772.248
2021€2.433.740
2022€2.931.248
2023€3.132.356
2024€4.196.978

Non Current Liabilities

2019€9211
2020€0
2021—
2022€13.151
2023€9722
2024€6177

Non Current Liabilities Consolidated

2019€9211
2020€0
2021€358.067
2022€243.185
2023€159.722
2024€6177

Retained Earnings Loss

2019€2.097.884
2020€2.469.280
2021€2.546.820
2022€3.131.503
2023€3.453.942
2024€3.824.016

Retained Earnings Loss Consolidated

2019€2.097.884
2020€2.469.280
2021€2.545.397
2022€3.124.950
2023€3.421.521
2024€3.824.016

Revenue Consolidated

2019€20.810.758
2020€20.012.875
2021€28.730.725
2022€37.130.304
2023€30.949.764
2024€33.854.338

Total Annual Period Profit Loss

2019€1.002.977
2020€1.434.733
2021€1.840.941
2022€1.787.650
2023€2.013.945
2024€2.610.463

Total Annual Period Profit Loss Consolidated

2019€1.002.977
2020€1.434.723
2021€1.836.736
2022€1.758.908
2023€2.051.199
2024€2.615.321

Total Profit Loss

2019€1.098.796
2020€1.150.686
2021€226.244
2022€2.082.660
2023€2.179.471
2024€1.613.626

Total Profit Loss Before Tax

2019€1.170.535
2020€1.553.674
2021€2.022.926
2022€2.034.018
2023€2.297.543
2024€2.874.493

Total Profit Loss Before Tax Consolidated

2019€1.170.535
2020€1.553.664
2021€2.118.721
2022€2.005.276
2023€2.334.797
2024€2.879.351

Total Profit Loss Consolidated

2019€1.067.049
2020€1.087.213
2021€193.754
2022€1.978.861
2023€2.151.008
2024€1.632.374
Métrica201920202021202220232024
Facturación€20.839.558€20.073.825€28.756.725€37.218.096€31.052.572€33.917.128
Revenue€20.839.558€20.073.825€28.756.725€37.218.096€31.052.572€33.917.128
Beneficio / (pérdida)€1.002.977€1.434.733€1.840.941€1.787.650€2.013.945€2.610.463
Activo total€6.076.522€8.197.110€9.053.379€9.648.957€11.649.551€11.365.833
Equity€3.227.776€4.030.928€4.514.676€5.046.068€5.594.802€6.561.394
Share Capital€138.000€124.359€124.359€124.359€124.359€124.359
Current Assets€4.029.791€4.649.609€5.687.341€6.213.013€7.640.627€4.725.533
Gastos administrativos€-984.493€-1.122.845€-1.220.606€-1.435.700€-1.586.522€-1.784.396
Assets€6.076.522€8.197.110€9.053.379€9.648.957€11.649.551€11.365.833
Assets Consolidated€6.078.328€8.198.713€9.923.014€9.844.679€11.805.948€11.424.690
Average Number Of Employees In Full Time Equivalent Units Consolidated211921212223
Cash And Cash Equivalents€1.550.718€1.706.729€979.424€2.121.033€1.759.410€1.260.071
Cash And Cash Equivalents Consolidated€1.552.858€1.737.861€1.768.761€2.889.454€1.887.679€1.764.026
Current Assets Consolidated€4.509.796€7.426.465€7.489.274€6.913.431€8.673.592€7.227.712
Current Liabilities€2.839.535€4.166.182€4.538.703€4.589.738€6.045.027€4.798.262
Current Liabilities Consolidated€2.841.341€4.167.785€4.540.649€4.591.449€6.050.193€4.851.030
Depreciation And Impairment Loss Reversal€-13.132€-12.904€-11.139€-12.314€-16.665€-11.358
Depreciation And Impairment Loss Reversal Consolidated€-13.132€-12.904€-11.139€-12.314€-16.665€-11.358
Depreciation And Impairment Loss Reversal Neg€13.132€12.904€11.139€12.314€16.665€11.358
Depreciation And Impairment Loss Reversal Neg Consolidated€13.132€12.904€11.139€12.314€16.665€11.358
Employee Expense€-984.493€-1.122.845€-1.220.606€-1.435.700€-1.586.522€-1.784.396
Employee Expense Consolidated€-984.493€-1.122.845€-1.220.606€-1.435.700€-1.586.522€-1.784.396
Equity Consolidated€3.227.776€4.030.928€5.024.298€5.010.045€5.596.033€6.567.483
Issued Capital€138.000€124.359€124.359€124.359€124.359€124.359
Issued Capital Consolidated€138.000€124.359€124.359€124.359€124.359€124.359
Labor Expense Consolidated€984.493€1.122.845€1.220.606€1.435.700€1.586.522€1.784.396
Non Current Assets€2.046.731€3.547.501€3.366.038€3.435.944€4.008.924€6.640.300
Non Current Assets Consolidated€1.568.532€772.248€2.433.740€2.931.248€3.132.356€4.196.978
Non Current Liabilities€9211€0—€13.151€9722€6177
Non Current Liabilities Consolidated€9211€0€358.067€243.185€159.722€6177
Retained Earnings Loss€2.097.884€2.469.280€2.546.820€3.131.503€3.453.942€3.824.016
Retained Earnings Loss Consolidated€2.097.884€2.469.280€2.545.397€3.124.950€3.421.521€3.824.016
Revenue Consolidated€20.810.758€20.012.875€28.730.725€37.130.304€30.949.764€33.854.338
Total Annual Period Profit Loss€1.002.977€1.434.733€1.840.941€1.787.650€2.013.945€2.610.463
Total Annual Period Profit Loss Consolidated€1.002.977€1.434.723€1.836.736€1.758.908€2.051.199€2.615.321
Total Profit Loss€1.098.796€1.150.686€226.244€2.082.660€2.179.471€1.613.626
Total Profit Loss Before Tax€1.170.535€1.553.674€2.022.926€2.034.018€2.297.543€2.874.493
Total Profit Loss Before Tax Consolidated€1.170.535€1.553.664€2.118.721€2.005.276€2.334.797€2.879.351
Total Profit Loss Consolidated€1.067.049€1.087.213€193.754€1.978.861€2.151.008€1.632.374

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Annual report

Cuentas del ejercicio que finaliza el: 31/12/2024

Archivado: 30/6/2025

Annual report

Cuentas del ejercicio que finaliza el: 31/12/2023

Archivado: 28/6/2024

Annual report

Cuentas del ejercicio que finaliza el: 31/12/2022

Archivado: 26/6/2023

Annual report

Cuentas del ejercicio que finaliza el: 31/12/2021

Archivado: 30/6/2022

Annual report

Cuentas del ejercicio que finaliza el: 31/12/2020

Archivado: 28/4/2021

Annual report

Cuentas del ejercicio que finaliza el: 31/12/2019

Archivado: 17/4/2020

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Margen neto (2024)Margen neto
7,7 %
Ingresos interanuales (2023 vs. 2024)Ingresos interanuales
+9,2 %
Ratio de liquidez corriente (2024)Ratio de liquidez corriente
0,98×
Pasivos / fondos propios (2024)Pasivos / fondos propios
0,73×
Beneficio / (pérdida) interanual (2023 vs. 2024)Beneficio / (pérdida) interanual
+29,6 %

Salud financiera

Ratios derivados de las cuentas anuales. Se omiten los valores cuando faltan datos o no son significativos.

Márgenes

Margen neto (2019)
4,8 %
Gastos administrativos % de ingresos (2019)
-4,7 %
Margen neto (2020)
7,1 %
Gastos administrativos % de ingresos (2020)
-5,6 %
Margen neto (2021)
6,4 %
  1. –
  2. –
  3. –Eventus Ehitus OÜ
Gastos administrativos % de ingresos (2021)
-4,2 %
Margen neto (2022)
4,8 %
Gastos administrativos % de ingresos (2022)
-3,9 %
Margen neto (2023)
6,5 %
Gastos administrativos % de ingresos (2023)
-5,1 %
Margen neto (2024)
7,7 %
Gastos administrativos % de ingresos (2024)
-5,3 %

Crecimiento

Ingresos interanuales (2019 vs. 2020)
-3,7 %
Beneficio / (pérdida) interanual (2019 vs. 2020)
+43 %
Activos totales interanuales (2019 vs. 2020)
+34,9 %
Ingresos interanuales (2020 vs. 2021)
+43,3 %
Beneficio / (pérdida) interanual (2020 vs. 2021)
+28,3 %
Activos totales interanuales (2020 vs. 2021)
+10,4 %
Ingresos interanuales (2021 vs. 2022)
+29,4 %
Beneficio / (pérdida) interanual (2021 vs. 2022)
-2,9 %
Activos totales interanuales (2021 vs. 2022)
+6,6 %
Ingresos interanuales (2022 vs. 2023)
-16,6 %
Beneficio / (pérdida) interanual (2022 vs. 2023)
+12,7 %
Activos totales interanuales (2022 vs. 2023)
+20,7 %
Ingresos interanuales (2023 vs. 2024)
+9,2 %
Beneficio / (pérdida) interanual (2023 vs. 2024)
+29,6 %
Activos totales interanuales (2023 vs. 2024)
-2,4 %
CAGR ingresos (2019–2024)
+10,2 %
CAGR beneficio / (pérdida) (2019–2024)
+21,1 %
CAGR activos totales (2019–2024)
+13,3 %

Eficiencia y rentabilidad

Rotación de activos (2019)
3,43×
Rentabilidad sobre activos (neta) (2019)
16,5 %
Rotación de activos (2020)
2,45×
Rentabilidad sobre activos (neta) (2020)
17,5 %
Rotación de activos (2021)
3,18×
Rentabilidad sobre activos (neta) (2021)
20,3 %
Rotación de activos (2022)
3,86×
Rentabilidad sobre activos (neta) (2022)
18,5 %
Rotación de activos (2023)
2,67×
Rentabilidad sobre activos (neta) (2023)
17,3 %
Rotación de activos (2024)
2,98×
Rentabilidad sobre activos (neta) (2024)
23 %

Capital circulante y liquidez

Ratio de liquidez corriente (2019)
1,42×
Ratio de liquidez corriente (2020)
1,12×
Ratio de liquidez corriente (2021)
1,25×
Ratio de liquidez corriente (2022)
1,35×
Ratio de liquidez corriente (2023)
1,26×
Ratio de liquidez corriente (2024)
0,98×

Estructura de capital

Ratio de fondos propios (2019)
53,1 %
Pasivos / activos totales (2019)
46,9 %
Pasivos / fondos propios (2019)
0,88×
Ratio de fondos propios (2020)
49,2 %
Pasivos / activos totales (2020)
50,8 %
Pasivos / fondos propios (2020)
1,03×
Ratio de fondos propios (2021)
49,9 %
Pasivos / activos totales (2021)
50,1 %
Pasivos / fondos propios (2021)
1,01×
Ratio de fondos propios (2022)
52,3 %
Pasivos / activos totales (2022)
47,7 %
Pasivos / fondos propios (2022)
0,91×
Ratio de fondos propios (2023)
48 %
Pasivos / activos totales (2023)
52 %
Pasivos / fondos propios (2023)
1,08×
Ratio de fondos propios (2024)
57,7 %
Pasivos / activos totales (2024)
42,3 %
Pasivos / fondos propios (2024)
0,73×
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