Kvatro Kinnisvarahalduse OÜ hetkeolukord
Already 8,810 people have seen this company's branding and they are being followed by 66 Storybook user.In average the company has been rated 2.0 points ja kommenteeritud 33 korda.
's activity report 2022
The main activity of Kvatro Kinnisvarahalduse OÜ is to provide property owners with maintenance service, which includes property management, technical system maintenance, public order and accounting services.
The company has been operating in the Estonian market for over twenty years. Since 2013, Kvatro Kinnisvarahalduse OÜ has expanded its operations outside the Tallinn region. By the end of the current fiscal year, Kvatro Kinnisvarahalduse OÜ will offer its services in addition to Harju County also
in Tartu County, Põlva County, and Järva County.
Among the subsidiaries, Kvatro Õigusbüroo OÜ operates in its field.
The biggest project in recent years has been investing in the development of a new customer management environment "Haldusnet". The new environment was fully implemented by the end of 2017 and its developments continue in the future.
The parent company's consolidated turnover was 5.3 million euros in 2022 (4.5 million euros in 2021). The fiscal year ended with a profit of 55 thousand euros (124 thousand euros in 2021).
The biggest challenge for 2023 is maintaining competitiveness, which is affected by rising labor costs and increased competition in the last year.
Based on the consolidated report 2022 2021 current assets (shows general
Short-term debt general level) 1.04 1.09 coverage ratio short-term obligations good 1 - 2 between cash (shows high-liquid assets
Liquidity ratio availability short-term obligations coverage) 0.19 0.14 short-term obligations good 0.5 and less total assets (shows how much the company has
Total debt coverage ratio total assets all obligations 2.27 2.22 total obligations coverage) sales revenue
Buyers debit debt (shows how well available 10.26 9.37 collection frequency invoices turn into cash) buyers unpaid invoices reporting period profit (-loss) (shows what part makes up
Sales revenue net profitability 0.01 0.03 profit company's sales volume) sales revenue reporting period profit (-loss) (shows how well company's assets
ROA (net profitability of total assets) 0.03 0.07 are used) total assets sales revenue (shows each equity euro
ROE (net profitability of equity) 5.34 4.75 profitability) total equity
Comments (0)