KOIGRE OÜ

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This company's branding has already reached 25,532 peopleand his is followed by 6 Storybook users.On average, the company has been rated 4.3 points.and commente

KOIGRE OÜ current status

This company's branding has already reached 25,532 peopleand his is followed by 6 Storybook users.On average, the company has been rated 4.3 points.and commented 1 time.

Tegevusaruanne 2023

Koigre OÜ alustas tegevust 2011. aasta juulis. Ettevõtte peamisteks tegevusaladeks on veevarustuse-, kanalisatsioonitrasside ehitus ning renoveerimine. 2023. aastal jätkus Koigre OÜ traditsioonilise äritegevus. Ettevõtte tööpiirkonnaks on peale Pärnu ja Pärnumaa veel Läänemaa, Saaremaa. Tulevikus plaanitakse jätkata põhitegevust veevarustuse-, kanalisatsioonitrasside ehituse alal.

Peamised finantssuhtarvud 2023 2022

Müügitulu 907817 827622

Ärikasum (-kahjum) 84159 78325

Puhaskasum 83340 78437

Käibevara 498940 398879

Varad kokku 569101 502689

Lühiajalised kohustused 67382 77272

Omakapital kokku 491468 408128

Käibe ärirentaablus 9.27 9.46

Käibe puhasrentaablus 9.18 9.48

Lühiajaliste kohustuste 7.40 5.16 kattekordaja

ROA 14.6 15.6

ROE 17.0 19.2

Suhtarvude arvutamisel kasutatud valemid:

Käibe ärirentaablus (%) = ärikasum/müügitulu * 100

Käibe puhasrentaablus (%) = puhaskasum/müügitulu * 100

Lühiajaliste kohustuste kattekordaja (kordades) = käibevara/lühiajalised kohustused

ROA (%) = puhaskasum/varad kokku * 100

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KOIGRE OÜ's activity report 2022

Koigre OÜ started operations in July 2011. The company's main activities are the construction and renovation of water supply and sewerage pipelines. In 2021, Ko
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Koigre OÜ started operations in July 2011. The company's main activities are the construction and renovation of water supply and sewerage pipelines. In 2021, Koigre OÜ continued its traditional business activities. The company's work area includes Pärnu and Pärnumaa, as well as Läänemaa, Saaremaa. In the future, the plan is to continue the main activity in the field of water supply and sewerage pipeline construction. Main financial ratios 2022 2021 Sales revenue 827 662 671 400 Operating profit 78 325 107 122 Net profit 78 437 107 409 Current assets 398 879 339 846 Total assets 502 689

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