REISTMAR OÜ

Registry code: 11689275

ActiveEstonia

Financial Reports

2021202220232024
Revenue175 711166 41588 18655 126
Profit Before Tax44 04434 661−6 563−18 671
Net Profit43 86734 515−6 563−18 671
Profit margin25.0%20.7%-7.4%-33.9%
Equity181 006215 521208 914190 243
Liabilities9 99395 68269 45476 904
Total Assets190 999311 203278 368267 147

Financial Reports

2024()

Balance Sheet

Total Assets267 147 €
Long-term Assets142 022 €
Short-term Assets125 125 €
Equity190 243 €
Liabilities76 904 €

Profit & Loss Statement

Revenue55 126 €
Profit Before Tax−18 671 €
Net Profit−18 671 €
2023()

Balance Sheet

Total Assets278 368 €
Long-term Assets151 053 €
Short-term Assets127 315 €
Equity208 914 €
Liabilities69 454 €

Profit & Loss Statement

Revenue88 186 €
Profit Before Tax−6 563 €
Net Profit−6 563 €
2022()

Balance Sheet

Total Assets311 203 €
Long-term Assets161 428 €
Short-term Assets149 775 €
Equity215 521 €
Liabilities95 682 €

Profit & Loss Statement

Revenue166 415 €
Profit Before Tax34 661 €
Net Profit34 515 €
2021()

Balance Sheet

Total Assets190 999 €
Long-term Assets58 347 €
Short-term Assets132 652 €
Equity181 006 €
Liabilities9 993 €

Profit & Loss Statement

Revenue175 711 €
Profit Before Tax44 044 €
Net Profit43 867 €
2020()

Balance Sheet

Total Assets145 353 €
Long-term Assets59 526 €
Short-term Assets85 827 €
Equity137 139 €
Liabilities8 214 €

Profit & Loss Statement

Revenue108 897 €
Profit Before Tax−2 656 €
Net Profit−2 976 €
2019()

Balance Sheet

Total Assets148 957 €
Long-term Assets64 000 €
Short-term Assets84 957 €
Equity140 115 €
Liabilities8 842 €

Profit & Loss Statement

Revenue178 997 €
Profit Before Tax−18 171 €
Net Profit−18 901 €

Source: Äriregister