Caesart Creative OÜRegistered

16377416Private limited company (OÜ)Founded 2021

Key figures

11 610 €+216,2%
Revenue 2025
+48,5%
Average annual growth 2022–2025
05 k10 k15 k2022202320242025

Ratios

2025
Balance sheet structure
Current assetsNon-current assetsLiabilitiesEquity
02 k4 k6 k2022202320242025

Dividends

calculated
2025

No dividends were distributed.

History
20250 €
2024 ~978 €
2023 ~1995 €

Previous year's retained earnings + previous year's profit − current retained earnings.

Summary of financial statements2022–2025
2022202320242025
Balance sheet — assets
Total current assets2509235223853415
Total non-current assets2143169614721983
Total assets4652404838575398
Balance sheet — liabilities and equity
Current liabilities157157157923
Non-current liabilities————
Total liabilities157157157923
Share capital2500250025002500
Retained earnings of previous periods235−604−1911200
Profit for the year199513911200775
Reserves and other equity−235604191—
Total equity4495389137004475
Income statement
Sales revenue35442792367211 610
Operating profit199513911200775
EBITDA2089183914241096
Profit before income tax199513911200775
Profit for the reporting year199513911200775
Labour costs0000
Depreciation of non-current assets94448224321
Other indicators
Employees0000
Calculated dividend—19959780

A dash (—) means the report has not been filed or the line is not reported; 0 is a zero stated in the report.

Connections graph
100%Caesart Creative OÜVadim Atroštšenko
CompanyPersonShareholderOther roleAdditional link
Annual reportsPDF, XBRL

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

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Caesart Creative OÜ — 2025 revenue 11 610 €, profit 775 €, 0 employees | entity.ee