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摘要法律与地位时间表网络所有权和管理权股东名单最终实益拥有人地理财务财务健康度文件
摘要法律与地位时间表网络所有权和管理权股东名单最终实益拥有人地理财务财务健康度文件

Strove OÜ

🇪🇪爱沙尼亚•Osaühing•活跃
净利率(2025)净利率
-2.5%
收入同比(2024 对比 2025)收入同比
-21.9%
流动比率(2025)流动比率
32.21×

摘要

国家🇪🇪爱沙尼亚
现状活跃
注册编号14281215
成立21/06/2017
地址Gaasi Tee 3, Lehmja küla, Rae Vald, Harju Maakond, Rae Vald, Harju Maakond, 75306

法律与地位

法律形式Osaühing
现状活跃
注册日期21/06/2017
登记局Estonian Business Register / Äriregister
注册资本2,500

资料来源: Estonia RIK · 最后更新: 24/04/2026

时间轴(2事件)

24/04/2026

改变法律形式

→ Osaühing

21/06/2017

公司注册

成立日期: 2017-06-21

网络

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网络深度

所有权和管理权

Persons with significant control

Harri Koppelmaa

重要控制人

任命于:01/03/2020

—
Aldo Kaljumäe

重要控制人

任命于:22/10/2018

—

所有权时间轴(2变化)

01/03/2020

就任 Harri Koppelmaa (个人)

重要控制人

22/10/2018

就任 Aldo Kaljumäe (个人)

重要控制人

股东名单

名称持股表决权自
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最终实益拥有人

名称权益国家/地区自
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地理

总部

Gaasi Tee 3

Lehmja küla, Rae Vald, Harju Maakond

Rae Vald

Harju Maakond

75306

财务

主要数据来自年度账目申报。

转换为

2019

营业额: €488.6K

主要数据

营业额

2019€488,612
2020€359,585
2021€324,797
2022€903,757
2023€1,209,754
2024€262,270
2025€204,944

Revenue

2019€488,612
2020€359,585
2021€324,797
2022€903,757
2023€1,209,754
2024€262,270
2025€204,944

利润/(亏损)

2019€90,201
2020€27,972
2021€24,300
2022€29,527
2023€85,996
2024€-23,589
2025€-5,037

总资产

2019€212,744
2020€236,042
2021€193,559
2022€341,764
2023€331,586
2024€148,185
2025€111,987

Equity

2019€144,384
2020€172,356
2021€146,656
2022€176,184
2023€212,179
2024€113,591
2025€108,554

Share Capital

2019€2,500
2020€2,500
2021€2,500
2022€2,500
2023€2,500
2024€2,500
2025€2,500

Current Assets

2019€185,792
2020€217,706
2021€182,700
2022€331,796
2023€325,844
2024€145,506
2025€110,594

行政开支

2019€280,722
2020€262,561
2021€225,667
2022€229,265
2023€217,340
2024€150,650
2025€106,969

Assets

2019€212,744
2020€236,042
2021€193,559
2022€341,764
2023€331,586
2024€148,185
2025€111,987

Average Number Of Employees In Full Time Equivalent Units

20198
20208
20217
20226
20235
20244
20253

Cash And Cash Equivalents

2019€105,840
2020€78,893
2021€108,917
2022€132,903
2023€101,982
2024€76,708
2025€104,276

Current Liabilities

2019€49,916
2020€56,305
2021€46,903
2022€165,580
2023€119,407
2024€34,594
2025€3,433

Depreciation And Impairment Loss Reversal

2019€-6,577
2020€-8,616
2021€-8,444
2022€-7,322
2023€-4,225
2024€-3,063
2025€-1,286

Employee Expense

2019€-280,722
2020€-271,210
2021€-233,439
2022€-236,832
2023€-218,436
2024€-150,650
2025€-106,969

Issued Capital

2019€2,500
2020€2,500
2021€2,500
2022€2,500
2023€2,500
2024€2,500
2025€2,500

Labor Expense

2019€280,722
2020€262,561
2021€225,667
2022€229,265
2023€217,340
2024€150,650
2025€106,969

Non Current Assets

2019€26,952
2020€18,336
2021€10,859
2022€9,968
2023€5,742
2024€2,679
2025€1,393

Non Current Liabilities

2019€18,444
2020€7,381
2021€0
2022€0
2023—
2024—
2025—

Retained Earnings Loss

2019€51,683
2020€141,884
2021€119,856
2022€144,157
2023€123,683
2024€134,680
2025€111,091

Total Annual Period Profit Loss

2019€90,201
2020€27,972
2021€24,300
2022€29,527
2023€85,996
2024€-23,589
2025€-5,037

Total Profit Loss

2019€91,045
2020€28,371
2021€24,541
2022€29,656
2023€91,550
2024€-5,502
2025€-4,528

Total Profit Loss Before Tax

2019€90,617
2020€27,972
2021€24,300
2022€29,527
2023€91,536
2024€-5,483
2025€-4,520
公制2019202020212022202320242025
营业额€488,612€359,585€324,797€903,757€1,209,754€262,270€204,944
Revenue€488,612€359,585€324,797€903,757€1,209,754€262,270€204,944
利润/(亏损)€90,201€27,972€24,300€29,527€85,996€-23,589€-5,037
总资产€212,744€236,042€193,559€341,764€331,586€148,185€111,987
Equity€144,384€172,356€146,656€176,184€212,179€113,591€108,554
Share Capital€2,500€2,500€2,500€2,500€2,500€2,500€2,500
Current Assets€185,792€217,706€182,700€331,796€325,844€145,506€110,594
行政开支€280,722€262,561€225,667€229,265€217,340€150,650€106,969
Assets€212,744€236,042€193,559€341,764€331,586€148,185€111,987
Average Number Of Employees In Full Time Equivalent Units8876543
Cash And Cash Equivalents€105,840€78,893€108,917€132,903€101,982€76,708€104,276
Current Liabilities€49,916€56,305€46,903€165,580€119,407€34,594€3,433
Depreciation And Impairment Loss Reversal€-6,577€-8,616€-8,444€-7,322€-4,225€-3,063€-1,286
Employee Expense€-280,722€-271,210€-233,439€-236,832€-218,436€-150,650€-106,969
Issued Capital€2,500€2,500€2,500€2,500€2,500€2,500€2,500
Labor Expense€280,722€262,561€225,667€229,265€217,340€150,650€106,969
Non Current Assets€26,952€18,336€10,859€9,968€5,742€2,679€1,393
Non Current Liabilities€18,444€7,381€0€0———
Retained Earnings Loss€51,683€141,884€119,856€144,157€123,683€134,680€111,091
Total Annual Period Profit Loss€90,201€27,972€24,300€29,527€85,996€-23,589€-5,037
Total Profit Loss€91,045€28,371€24,541€29,656€91,550€-5,502€-4,528
Total Profit Loss Before Tax€90,617€27,972€24,300€29,527€91,536€-5,483€-4,520

文件

法国公司的文档下载功能暂未提供。

Annual report

会计期间截止于: 31/12/2025

Filed: 30/03/2026

Annual report

会计期间截止于: 31/12/2024

Filed: 22/04/2025

Annual report

会计期间截止于: 31/12/2023

Filed: 19/02/2024

Muutmiskanne

02/09/2023

Annual report

会计期间截止于: 31/12/2022

Filed: 04/04/2023

Annual report

会计期间截止于: 31/12/2021

Filed: 02/05/2022

文档 AI

即将推出

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就申报文件与摘要提问——AI 将阅读文档并结合上下文作答。

Annual report

会计期间截止于: 31/12/2020

Filed: 16/04/2021

Annual report

会计期间截止于: 31/12/2019

Filed: 02/03/2020

Muutmiskanne

30/07/2018

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浏览更多公司与人物

🇮🇪KILDALE LIMITED🇮🇪BRAMBURY LIMITED🇮🇪AVONMOUNT LIMITEDMICAHEL FRENCHMICHAEL MCCOYMOHAMED KHAN S
负债/权益(2025)负债/权益
0.03×
利润/(亏损)同比(2024 对比 2025)利润/(亏损)同比
+78.6%

财务健康度

由年度账目推导的比率。若数据缺失或不宜展示,则不显示。

利润率

净利率(2019)
18.5%
管理费用占收入%(2019)
57.5%
净利率(2020)
7.8%
管理费用占收入%(2020)
73%
净利率(2021)
7.5%
管理费用占收入%(2021)
69.5%
净利率(2022)
3.3%
  1. –
  2. –
  3. –Strove OÜ
管理费用占收入%(2022)
25.4%
净利率(2023)
7.1%
管理费用占收入%(2023)
18%
净利率(2024)
-9%
管理费用占收入%(2024)
57.4%
净利率(2025)
-2.5%
管理费用占收入%(2025)
52.2%

增长

收入同比(2019 对比 2020)
-26.4%
利润/(亏损)同比(2019 对比 2020)
-69%
总资产同比(2019 对比 2020)
+11%
收入同比(2020 对比 2021)
-9.7%
利润/(亏损)同比(2020 对比 2021)
-13.1%
总资产同比(2020 对比 2021)
-18%
收入同比(2021 对比 2022)
+178.3%
利润/(亏损)同比(2021 对比 2022)
+21.5%
总资产同比(2021 对比 2022)
+76.6%
收入同比(2022 对比 2023)
+33.9%
利润/(亏损)同比(2022 对比 2023)
+191.2%
总资产同比(2022 对比 2023)
-3%
收入同比(2023 对比 2024)
-78.3%
利润/(亏损)同比(2023 对比 2024)
-127.4%
总资产同比(2023 对比 2024)
-55.3%
收入同比(2024 对比 2025)
-21.9%
利润/(亏损)同比(2024 对比 2025)
+78.6%
总资产同比(2024 对比 2025)
-24.4%
收入复合年增长率(2019–2025)
-13.5%
总资产复合年增长率(2019–2025)
-10.1%

效率与回报

资产周转率(2019)
2.3×
资产回报率(净)(2019)
42.4%
资产周转率(2020)
1.52×
资产回报率(净)(2020)
11.9%
资产周转率(2021)
1.68×
资产回报率(净)(2021)
12.6%
资产周转率(2022)
2.64×
资产回报率(净)(2022)
8.6%
资产周转率(2023)
3.65×
资产回报率(净)(2023)
25.9%
资产周转率(2024)
1.77×
资产回报率(净)(2024)
-15.9%
资产周转率(2025)
1.83×
资产回报率(净)(2025)
-4.5%

营运资金与流动性

流动比率(2019)
3.72×
流动比率(2020)
3.87×
流动比率(2021)
3.9×
流动比率(2022)
2×
流动比率(2023)
2.73×
流动比率(2024)
4.21×
流动比率(2025)
32.21×

资本结构

权益比率(2019)
67.9%
负债/总资产(2019)
32.1%
负债/权益(2019)
0.47×
权益比率(2020)
73%
负债/总资产(2020)
27%
负债/权益(2020)
0.37×
权益比率(2021)
75.8%
负债/总资产(2021)
24.2%
负债/权益(2021)
0.32×
权益比率(2022)
51.6%
负债/总资产(2022)
48.4%
负债/权益(2022)
0.94×
权益比率(2023)
64%
负债/总资产(2023)
36%
负债/权益(2023)
0.56×
权益比率(2024)
76.7%
负债/总资产(2024)
23.3%
负债/权益(2024)
0.3×
权益比率(2025)
96.9%
负债/总资产(2025)
3.1%
负债/权益(2025)
0.03×
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爱沙尼亚
Rae Vald