osaühing Hardmark

Legal formLegal form:
Private limited company
Registry codeRegistry code:
11186634
VAT no.VAT no.:
EE101024325
Fiscal-year periodFiscal-year period:
01.01 - 31.12
EstablishedEstablished:
20.12.2005 (20 y)
CapitalCapital:
2 556 EUR
AddressAddress:
Jaani, Tahkuranna küla, Häädemeeste vald, Pärnu maakond, 86509
StatusStatus:
Registered

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Contacts

PhonePhone:
+372 53735798
EmailEmail:
hardmark.harri@gmail.com

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Industries

VAT liability

VAT no.StartEnd
EE10102432502.02.2006-

Annual reports

YearPeriodSubmittedStatus
202501.01.2025 – 31.12.202511.01.2026ValidPDF
202401.01.2024 – 31.12.202407.01.2025ValidPDF
202301.01.2023 – 31.12.202305.01.2024ValidPDF

Unsubmitted declarations

No unsubmitted declarations found

No unsubmitted declarations as of 30.09.2026.

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Tax data

PeriodState taxesLabour taxesTaxable turnoverEmployees
2026 Q2227 €0 €972 €-
2026 Q1--0 €−100%-
Total 2026:227 €0 €972 €
2025 Q41 170 €0 €5 483 €-
2025 Q3451 €0 €0 €−100%-
2025 Q21 344 €0 €6 372 €+67,8%-
2025 Q11 087 €0 €3 797 €−63,3%-

Revenue by industry

202320242025
Manufacture of other electrical equipment15 461 €24 765 €11 599 €

Tax debts

No tax debt found

No tax debt as of 30.09.2026

Representatives

Personal ID code
Harri Karu35906XXXXXX08.06.1959 (67)Board member18.01.2006-

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1 – 1 / 1 rows

Holdings in companies

No holdings in companies found

Company has no holdings in other companies

2026 Q2

Turnover

Amount
972 €
Monthly average
324 €
Per employee
-
Equity ratio
12,68%

Labour taxes

Turnover ratio
0,00%
Tax ratio
0,00%
Monthly average
0 €
Per employee
-

State taxes

Monthly average
76 €
Turnover ratio
23,35%

Estimated salary

Gross salary
-
Net salary
-

Aggregate data

20252024202320222021
Current assets12 229 €−10,0%13 591 €−23,2%17 688 €+7,3%16 477 €+29,8%12 698 €−42,8%
Non-current assets4 701 €+25,3%3 751 €−9,9%4 163 €+16,3%3 579 €+38,5%2 584 €−7,6%
Total assets16 930 €−2,4%17 342 €−20,6%21 851 €+8,9%20 056 €+31,2%15 282 €−38,8%
Short-term liabilities131 €−87,8%1 076 €−1,6%1 093 €−41,6%1 870 €+51,5%1 234 €−36,7%
Long-term liabilities-----
Total liabilities131 €−87,8%1 076 €−1,6%1 093 €−41,6%1 870 €+51,5%1 234 €−36,7%

Financial ratios

20252024202320222021
Profit and cash flow
EBITDA13 079 €-7 147 €
Liquidity
Current ratio8,810,3
Quick ratio8,810,3

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Licences & notices

Notice of economic activityTEL001175Equipment worksValid18.03.2009-
1 – 1 / 1 rows

Regulations

Ä 30021564 / 801.09.2023Entry – Amendment entry-Entered into force01.09.2023
Ä 30021564 / 714.02.2018Entry – Amendment entry-Entered into force14.02.2018
Ä 30021564 / 619.01.2018Entry – Amendment entry-Entered into force19.01.2018
Ä 30021564 / 506.05.2011Entry – Amendment entry-Entered into force06.05.2011
Ä 21564 / 403.04.2009Entry – Amendment entry-Entered into force03.04.2009
1 – 5 / 8 rows

Real estate

No real estate found

Company has no real estate

Consumer Disputes Committee decisions

No consumer dispute committee decisions found

Company has not been issued consumer dispute committee decisions

Court decisions

No court decisions found

The company has no court decisions

Official announcements

No official announcements found

Company has no issued official announcements

Public transactions

No public transactions found

Company has no public transactions

Funded projects

No funded projects found

The company has no projects funded by EU or foreign grants

State aid

No state aid found

The company has not been granted state aid or de minimis aid

Public procurement contracts

No public procurement contracts found

The company has no public procurement contracts

.ee domains

No domains found

Company has no valid .ee domains

Enforcement proceedings

No enforcement proceedings found

Company has no active debts with bailiffs

Payment orders

No payment orders found

Company has no court-ordered payment orders

Data comes from public registers.

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