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OÜ Kalevi Veekeskus

Registry code (registrikood) 11053554Private limited company (Osaühing)VAT EE100930054Activity (EMTAK 55101): HotellidActive

Tallinn, Harju County · Financial data: annual reports up to 2025; tax data up to 2026 Q2

Revenue (2025)
€7.0M
▼ 0.4% vs 2024
Profit before tax (2025)
-€55k
Employees, FTE (2025)
95
State taxes paid, last 4 quarters
€1.8M

Revenue, profit and employees, 2019–2025

€4.5M2019€2.9M2020€2.7M2021€6.0M2022€7.0M2023€7.1M2024€7.0M2025
YearRevenue (müügitulu)Operating profit (ärikasum)Net profitEquity (omakapital)Employees, FTE
2019€4,476,809-€55,043-€437,163€4,486,580101
2020€2,925,333-€867,693-€1,267,762€3,218,81885
2021€2,691,185-€279,003-€765,983€2,452,83566
2022€6,028,243€689,503€129,617€2,582,45276
2023€7,038,626€1,102,185€222,950€2,805,40299
2024€7,063,779€849,320-€43,425€2,761,977101
2025€7,038,268€631,465-€54,516€2,707,46195

Balance sheet summary

YearCashTotal assetsCurrent liabilitiesNon-current liabilitiesEquity
2019€59,732€21,891,718€1,615,120€15,790,018€4,486,580
2020€151,827€20,991,483€946,787€16,825,878€3,218,818
2021€736,982€20,801,377€1,252,707€17,095,835€2,452,835
2022€988,139€20,415,141€1,550,916€16,281,773€2,582,452
2023€860,541€19,726,934€1,749,394€15,172,138€2,805,402
2024€691,181€18,889,020€1,804,315€14,322,728€2,761,977
2025€279,453€18,197,611€1,723,261€13,766,889€2,707,461

Calculated ratios

Net profit margin = net profit ÷ revenue. Equity ratio = equity ÷ total assets. Seedata sources & methodology for how each figure is derived.

Quarterly tax and turnover data (EMTA)

QuarterState taxes paidWage taxesTurnoverEmployees
2022 Q1€274,040€191,417€1,163,485144
2022 Q2€311,335€210,245€1,476,854145
2022 Q3€328,534€232,530€1,659,070150
2022 Q4€355,128€221,782€1,637,464151
2023 Q1€358,486€221,674€1,775,763150
2023 Q2€363,427€235,233€1,798,221145
2023 Q3€368,138€249,258€1,987,141147
2023 Q4€381,830€247,123€1,740,558144
2024 Q1€379,197€255,470€1,824,067149
2024 Q2€395,885€256,285€1,706,147146
2024 Q3€384,761€265,194€1,942,936134
2024 Q4€404,227€262,074€1,840,812142
2025 Q1€434,518€275,917€1,849,052141
2025 Q2€385,101€267,234€1,706,772143
2025 Q3€440,024€289,871€2,026,262139
2025 Q4€471,627€286,634€1,816,437140
2026 Q1€430,415€274,928€1,888,604144
2026 Q2€412,168€271,478€1,744,975155

Source: EMTA quarterly published data, as of 10 July 2026. Covers state taxes and wage taxes actually paid and turnover and employee counts as declared by the company, not the annual report figures above.

About this data

In the 2025 financial year (period 1 January 2025–31 December 2025), OÜ Kalevi Veekeskus reported revenue of €7,038,268.

The company recorded a net loss of €54,516 in the 2025 financial year.

Revenue decreased by 0.4% from €7,063,779 in 2024 to €7,038,268 in 2025.

Revenue grew at a compound annual rate of 7.8% between 2019 and 2025.

Equity accounted for 14.9% of total assets of €18,197,611 at the end of the 2025 reporting period.

With 95 full-time-equivalent employees in 2025, revenue per employee was €74,087.

Across the 4 most recent quarters declared to EMTA, up to Q2 2026, OÜ Kalevi Veekeskus reported €7,476,278 in turnover.

EMTA recorded 155 employees for the quarter ending Q2 2026, compared with 95 full-time-equivalent employees in the 2025 annual report.

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Source

Source: Estonian e-Business Register open data (Centre of Registers and Information Systems, RIK), licence CC BY-SA 4.0, modified; Estonian Tax and Customs Board (EMTA) quarterly data. Downloaded 2026-09-22. This is not an official register extract — see ariregister.rik.ee.

Company data on this site is available under CC BY-SA 4.0.

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