Kunstidering OÜRegistered

14830299Private limited company (OÜ)Founded 2019

Key figures

2400 €+108,7%
Revenue 2025
−5,8%
Average annual change 2020–2025
01 k2 k3 k4 k202020212022202320242025

Ratios

2025
Balance sheet structure
Current assetsNon-current assetsLiabilitiesEquity
02,5 k5 k7,5 k202020212022202320242025
Summary of financial statements2020–2025
202020212022202320242025
Balance sheet — assets
Total current assets525740962784321545191696
Total non-current assets33527392351196315741230
Total assets559268355135517860932926
Balance sheet — liabilities and equity
Current liabilities34023002300230031550
Non-current liabilities——————
Total liabilities34023002300230031550
Share capital250025002500250025002500
Retained earnings of previous periods—27512035335377438
Profit for the year2751−716−16984261−12
Reserves and other equity——−2———
Total equity525245352835287829382926
Income statement
Sales revenue3228200057511502400
Operating profit2751−716−169811−35−101
EBITDA2795−370−1310399353243
Profit before income tax2751−716−16984261−12
Profit for the reporting year2751−716−16984261−12
Labour costs—————0
Depreciation of non-current assets44346388388388344
Other indicators
Employees000000
Calculated dividend—00000

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100%Kunstidering OÜ1Kaidi Tabri
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Annual reportsPDF, XBRL

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Source: e-Business Register (RIK). Files open/download directly from the official register.

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Kunstidering OÜ — 2025 revenue 2400 €, profit −12 €, 0 employees | entity.ee