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Võlausaldaja meel on mõru!

BYGGNOR TEHASED OÜ: Nutulugu

Selle ettevõtte profiilil asub NUTULUGU, mis tähendab, et Võlausaldaja meel on mõru ja ta nutab. ? TÄHELEPANU! Inforegister soovitab hoiduda koostööst BYGGNOR TEHASED OÜ-ga, kui koostöövõimetu ettevõttega, kes ignoreerib oma kohustusi ja Võlausaldaja püüdlusi kontakti saada. Võlausaldajatele tekitatud kahju kokku on juba 79104.43 EUR. Võlgnevuste tekkimisel oli BYGGNOR TEHASED OÜ juh...

BYGGNOR TEHASED OÜ 2019 financial prognosis

Prognooskäive
0 €

Norway

Estonia

Average monthly turnover
0 €
Available credit
0 €
Settlement dates
0
Gross margin
147 067 €
Undivided
profit
294 134 €
200%
Profit
-147 067 €
-100%
Balance sheet total
149 567 €
Profit margin
0 %
1 € of liabilities related to
assets
0,00 €
Labour
productivity
per year
0,00 €
Average
monthly pay
0,00 €
Employees
2
Market share
0 %
Prognooskäive
0 €

Norway

Estonia

Average monthly turnover
0 €
Available credit
0 €
Settlement dates
0
Gross margin
147 067 €
Undivided
profit
294 134 €
200%
Profit
-147 067 €
-100%
Balance sheet total
149 567 €
Profit margin
0 %
1 € of liabilities related to
assets
0,00 €
Labour
productivity
per year
0,00 €
Average
monthly pay
0,00 €
Employees
2
Market share
0 %

BYGGNOR TEHASED OÜ quarterly figures

Quarter
Turnover EUR
Labour productivity EUR
Number of employees
2017 I 608 935 24 357 25
2017 II 487 241 20 302 24
2017 III 362 227 14 489 25
2017 IV 381 467 19 073 20
2018 I 322 646 17 925 18
2018 II 39 467 19 734 2
2018 III - - 2
2018 IV 6 800 6 800 1
2019 I - - 2
2019 II - - 2
Kvartal 2017 I 2017 II 2017 III 2017 IV 2018 I 2018 II 2018 III 2018 IV 2019 I 2019 II
Turnover, €
608 935 487 241 362 227 381 467 322 646 39 467 - 6 800 - -
Number of employees
25 24 25 20 18 2 2 1 2 2
Labour productivity, €
24 357 20 302 14 489 19 073 17 925 19 734 - 6 800 - -

BYGGNOR TEHASED OÜ economic performance and prognosis

Turnover EUR 2012 2013 2014 2015 2016 2018 prognosis Trend 2019 prognosis
Estonia
- 759 840 2 226 030 96 300 320 838 645 292
-
Norway
- - - 2 915 092 1 851 268 - -
                 
Kogukäive EUR
- 759 840 2 226 030 3 011 392 2 172 106 645 292
-
                 
Kasumi marginaal %
- 5 2 1 1 2
-
                 

BYGGNOR TEHASED OÜ financial indicators and prognosis

Financial indicators 2012 2013 2014 2015 2016 2018
prognosis
Trend 2019
prognosis
TURNOVER - 759 840 2 226 030 3 011 392 2 172 106 645 292
-
Estonia - 759 840 2 226 030 96 300 320 838 645 292
-
Other countries - - - 2 915 092 1 851 268 - -
                 
KÄIVE SIDUSETTEVÕTETES - - - - 53 358 132 246
573 987
PROTHOR OÜ - 100% - - - - 53 358 132 246
573 987
                 
AVERAGE MONTHLY TURNOVER - 63 320 185 502 250 949 181 008 53 774
-
Available credit (credit limit) - - - - - - -
Settlement dates - - - - - - 0 days
                 
ASSETS 2 500 262 448 675 854 712 837 599 235 294 099
149 567
Current assets 2 500 202 431 522 494 519 222 341 902 245 423
149 567
Fixed assets - 60 017 153 360 193 615 257 333 48 675
-
                 
OBLIGATIONS - 219 549 581 411 589 629 449 668 133 588
-
Short-term obligations - 180 115 567 322 587 077 448 908 133 362
-
Long-term obligations - 39 434 14 089 2 552 760 225
-
                 
EQUITY 2 500 42 899 94 443 123 208 149 567 160 511
149 567
Share-(equity capital) 2 500 2 500 2 500 2 500 2 500 2 500 2 500
Undistributed profits - - 40 399 91 943 120 708 147 067
294 134
Net profit - 40 399 51 544 28 765 26 359 10 944
-147 067
                 
NET WORKING CAPITAL 2 500 22 316 -44 828 -67 855 -107 006 112 061
149 567
                 
NUMBER OF EMPLOYEES - - - - - 6
2
                 



Coefficients, revenues and prognosis 2018
prognosis
Trend 2019
prognosis
Net Working capital 112 061
149 567
Short-term debt coverage ratio (X) 1.84
-
Debt to assets ratio (X) 0.45
-
Kapitaliseerituse kordaja (X) - -
Põhivarade käibekordaja (X) 13.26
-
Sales revenues (%) 1.7
-
Total asset revenues (%) 3.72
-98.33
Equity revenues (%) 6.82
-98.33

2018. financial rating of the annual report VERY GOOD

Very bad
 
1
2
3
4
5
 
Very good


LIQUIDITY
Net Working capital
5
Short-term debt coverage ratio
5
VÕÕRKAPITALI KASUTAMINE
Põhivarade käibekordaja (X)
5
EFFECTIVITY
Debt to assets ratio (X)
5
Kapitaliseerituse kordaja (X)
5
PROFITABILITY
Sales revenues (%)
4
Total asset revenues (%)
4
Equity revenues (%)
4


Annual reports: 2013 2014 2015 2016

beneficiary assets report (prognosis 2019)


.01
Trustworthy

Håvard Kvinge

Vaata CV-d

Sünniaeg: 28.08.1991

 
Net value of the assets
1 284 219 €
Companies value by income approach
2 640 858 €
.01
Trustworthy

Sünniaeg: 28.08.1991

Net value of the assets
1 284 219 €
Companies value by income approach
2 640 858 €

Chronology (latest events)

Direct ownership - natural person holds 25 percent stake in the company plus one share or more than 25 percent ownership.

Indirect ownership is a situation, when one company or several companies, which are under the control of the same natural person, hold 25 percent stake in the company plus one share or more than 25 percent ownership.

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