AKTSIASELTS EFEKT
- Registry code
- 10377042
- VAT number
- EE100433331
- Address
- Harju maakond, Kiili vald, Kiili alev, Tööstuse tn 30, 75401
- Registered
- 05.02.1998 · 28 yrs
- Activity
- Muude plasttoodete tootmine 22261
- Additional activities
- Muude keemiatoodete hulgimüük
- Capital
- 130 598 €
- e•••@e•••.eeLog in to see
- Phone
- +372 •• ••••Log in to see
- Website
- http://www.efekt.ee
- No tax debt
- No enforcement proceedings (12 months)
- No payment orders (12 months)
- No bankruptcy or liquidation
- No sanctions
- Report filed (2025)
- VAT registered
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Board and owners
2 persons
| Board 1 | ||
|---|---|---|
| Heiki Mikomägi2 companiesno tax debt | Personal ID ↗ | 07.11.2017 |
| Other persons 1 | ||
| Nasdaq CSD SE1983 companies149 with tax debt40 bankruptShare register keeper | Personal ID ↗ | 28.09.2017 |
| Beneficial owners 4 | ||
| Erika Mikomägi1 companyno tax debtmember of the senior management body, i.e. management or supervisory board member | 18.10.2018 | |
| Heiki Mikomägi2 companiesno tax debtdirect holding | 18.10.2018 | |
| Laura Tiimus2 companiesno tax debtmember of the senior management body, i.e. management or supervisory board member | 21.05.2025 | |
| Renee Mikomägi8 companiesno tax debtmember of the senior management body, i.e. management or supervisory board member | 10.11.2024 | |
Business Register open data
Quarterly taxes and revenue
2026 Q2
2026 Q2. Wage is estimated from employment taxes.
| Quarter | Revenue | Change y/y | Labour taxes | State taxes | Employees |
|---|---|---|---|---|---|
| 2026 Q2 | 205 299 € | ▼ 39% | 26 814 € | 0 € | 8 |
| 2026 Q1 | 149 441 € | ▼ 29% | 28 094 € | 41 438 € | 8 |
| 2025 Q4 | 352 258 € | ▲ 84% | 37 252 € | 0 € | 8 |
| 2025 Q3 | 293 268 € | ▲ 125% | 36 249 € | 18 520 € | 9 |
| 2025 Q2 | 337 715 € | ▼ 36% | 29 320 € | 9 983 € | 8 |
| 2025 Q1 | 211 882 € | ▼ 45% | 26 847 € | 19 094 € | 8 |
| 2024 Q4 | 191 933 € | ▼ 49% | 39 318 € | 258 626 € | 9 |
| 2024 Q3 | 130 364 € | ▼ 61% | 33 949 € | 38 436 € | 12 |
| 2024 Q2 | 531 258 € | ▲ 32% | 40 363 € | 48 775 € | 12 |
| 2024 Q1 | 383 173 € | ▲ 7% | 48 865 € | 51 300 € | 13 |
| 2023 Q4 | 374 979 € | ▲ 0% | 48 973 € | 45 541 € | 13 |
| 2023 Q3 | 333 196 € | ▼ 44% | 50 903 € | 51 948 € | 14 |
Show full history (18 quarters)
| 2023 Q2 | 403 338 € | ▼ 47% | 50 630 € | 49 955 € | 15 |
| 2023 Q1 | 356 764 € | ▼ 42% | 53 095 € | 54 160 € | 19 |
| 2022 Q4 | 373 979 € | 57 787 € | 51 662 € | 19 | |
| 2022 Q3 | 594 908 € | 72 605 € | 84 640 € | 19 | |
| 2022 Q2 | 758 811 € | 68 684 € | 70 666 € | 20 | |
| 2022 Q1 | 618 028 € | 73 123 € | 57 418 € | 21 |
Tax and Customs Board, published on the 10th of the month following the quarter. State taxes include employment taxes. CC BY-SA 3.0
Annual reports
5 yr
| 2025 | 2024 | 2023 | 2022 | 2021 | |||||
|---|---|---|---|---|---|---|---|---|---|
| Sales revenue | 941 k € | ▼ 2% | 963 k € | ▼ 15% | 1,1 m € | ▼ 32% | 1,7 m € | ▼ 23% | 2,2 m € |
| Profit | 805 € | ▼ 100% | 904 k € | ▲ into profit | -64 340 € | ▼ 278% | -17 038 € | ▼ into loss | 308 k € |
| Profit margin | 0,1% | 93,8% | -5,7% | -1,0% | 14,2% | ||||
| Retained earnings | 394 k € | ▲ into profit | -509 k € | ▼ into loss | 727 k € | ▼ 2% | 744 k € | ▲ 39% | 535 k € |
| Cash | 30 868 € | ▼ 81% | 163 k € | ▲ 895× | 182 € | ▼ 97% | 6 500 € | ▼ 82% | 36 600 € |
| Current assets | 189 k € | ▼ 39% | 310 k € | ▲ 51% | 206 k € | ▲ 41% | 146 k € | ▼ 6% | 155 k € |
| Fixed assets | 400 k € | ▲ 64% | 243 k € | ▼ 73% | 915 k € | ▼ 14% | 1,1 m € | ▼ 12% | 1,2 m € |
| Assets | 589 k € | ▲ 6% | 554 k € | ▼ 51% | 1,1 m € | ▼ 8% | 1,2 m € | ▼ 11% | 1,4 m € |
| Current liabilities | 49 900 € | ▲ 219% | 15 631 € | ▼ 93% | 213 k € | ▲ 26% | 169 k € | ▲ 23% | 137 k € |
| Long-term liabilities | — | 0 € | ▼ 100% | 102 k € | ▼ 41% | 173 k € | ▼ 29% | 242 k € | |
| Total liabilities | 49 900 € | ▲ 219% | 15 631 € | ▼ 95% | 315 k € | ▼ 8% | 342 k € | ▼ 10% | 379 k € |
| Equity | 539 k € | 0% | 538 k € | ▼ 33% | 806 k € | ▼ 7% | 870 k € | ▼ 12% | 987 k € |
| Labour costs | -306 k € | ▲ 15% | -359 k € | ▲ 26% | -486 k € | ▲ 20% | -610 k € | ▲ 8% | -660 k € |
| Employees | 8 | ▼ 33% | 12 | ▼ 14% | 14 | ▼ 26% | 19 | 0% | 19 |
| Filed | 27.02.2026 | 30.06.2025 | 12.06.2024 | 17.08.2023 | 15.07.2022 | ||||
| Report | PDF ↓ | PDF ↓ | PDF ↓ | PDF ↓ | PDF ↓ |
▲ growth, ▼ decline compared to the previous year (growth in liabilities is red). Business Register, annual reports. CC BY 4.0
Revenue by activity
2025
| Activity | EMTAK | Sales revenue | Osa |
|---|---|---|---|
| Muude plasttoodete tootmine main activity | 22261 | 871 343 € | 93% |
| Muude keemiatoodete hulgimüük | 46859 | 61 407 € | 7% |
2025 annual report, RIK open data
Real estate
e-kinnistusraamat
Loading properties…
Source: e-kinnistusraamat (Centre of Registers and Information Systems), basic data
Debts and court cases
clean
Tax Board debtor list (daily), Official Announcements, State Gazette. The Tax Board publishes only today's list; earlier history is collected by Firmo.
Enforcement, payment orders and notices
clean
Official Announcements contain no enforcement, payment order or tax authority notices about the company.
Official Announcements (CC BY-SA 4.0). Enforcement proceedings, payment orders or tax decisions are published there only if they cannot be delivered to the company otherwise. The enforcement register is not public, so the absence of a notice does not mean there are no claims.
State: transactions, tenders, grants
38 210 € makseid · 3 toetust
Transactions with state institutions
Largest payers
| Politsei- ja Piirivalveamet | 28 800 € |
| Rahvusooper Estonia | 9 410 € |
All payments by month
| Month | Payer | Type | Field | Amount |
|---|---|---|---|---|
| 10.2024 | Rahvusooper Estonia | Operating costs | Theatres | 3 050 € |
| 03.2024 | Rahvusooper Estonia | Operating costs | Theatres | 3 660 € |
| 11.2023 | Rahvusooper Estonia | Operating costs | Theatres | 2 700 € |
| 03.2023 | Politsei- ja Piirivalveamet | Fixed assets | Police | 28 800 € |
Riigi Tugiteenuste Keskus, Saldo makseandmikud
Toetuse saanud projektid
| Projekt | Meede | Periood | Toetus | Välja makstud |
|---|---|---|---|---|
| AS Efekt omatoodete ekspordi kasvatamine Lõpetatud · Ettevõtluse ja Innovatsiooni Sihtasutus | Ekspordi arendamise toetus | 29.12.2011 – 28.12.2013 | 62 248 € | |
| AS Efekt sissesõiduteede ja laoplatsi asfalteerimine Lõpetatud · Ettevõtluse ja Innovatsiooni Sihtasutus | Ettevõtluse infrastruktuuri arendamine | 01.05.2006 – 15.11.2006 | 45 502 € | |
| Tootmishoonega piirnevate teede ja laoplatside rajamiseks infra. taotluseks vaj Lõpetatud · Ettevõtluse ja Innovatsiooni Sihtasutus | Ettevõtete arengu toetamine | 15.03.2006 – 30.04.2006 | 959 € |
Riigi Tugiteenuste Keskus, toetatud projektid
Holdings in other companies
0
No holdings in other companies
Companies linked via the board
60
Sorted by revenue (latest report or 4 quarters).
Top 20 in activity: Muude plasttoodete tootmine
20
| # | Company | Revenue |
|---|---|---|
| 1 | Aquaphor International OÜ | 73,1 m € |
| 2 | aktsiaselts ESTIKO - PLASTAR | 48,2 m € |
| 3 | Promens Rõngu AS | 21,4 m € |
| 4 | Estelaxe OÜ | 8,6 m € |
| 5 | Talent Plastics Tallinn AS | 8,2 m € |
| 6 | Merrem Tööstusplast OÜ | 6,3 m € |
| 7 | Navix OÜ | 6,0 m € |
| 8 | ETTeam Baltic OÜ | 5,6 m € |
| 9 | Aktsiaselts Flagmore | 4,2 m € |
| 10 | Osaühing Vesimentor | 3,8 m € |
| 11 | Aktsiaselts DALE LD. | 3,2 m € |
| 12 | Talent Plastics Tartu AS | 2,7 m € |
| 13 | Muoviura Eesti OÜ | 2,2 m € |
| 14 | OÜ Klaasplast | 2,1 m € |
| 15 | Aktsiaselts Enko | 2,0 m € |
| 16 | Plastotec Pärnu Osaühing | 1,8 m € |
| 17 | 3DKoda OÜ | 1,7 m € |
| 18 | NORDIC PLAST OÜ | 1,7 m € |
| 19 | OSAÜHING VESMACO | 1,7 m € |
| 20 | IMC Materials OÜ | 1,6 m € |
Revenue from the latest annual report, otherwise Tax Board revenue for 4 quarters. All companies in this activity
Pandid, domeenid
2 records
Commercial pledges
| Number | Pandipidaja | Amount | Since |
|---|---|---|---|
| 1 | aktsiaselts Hansapank | 1 700 000 € | 25.03.1998 |
Domains
| Domain | Source |
|---|---|
| efekt.ee | Business Register |
History and notices
23
| Date | Type | Content |
|---|---|---|
| 06.02.2025 | Negative entry order: deficiencies not remedied | Ümberkujundamiskanne |
| 06.01.2025 | Order to remedy deficiencies | Ümberkujundamiskanne |
| 02.12.2024 | Eitav kandemäärus | Ümberkujundamiskanne |
| 08.11.2024 | Entry | Amendment entry |
| 30.10.2024 | Eitav kandemäärus | Ümberkujundamiskanne |
| 23.01.2019 | Entry | Amendment entry |
| 25.07.2018 | Entry | Muutmiskanne ÄS § 525 lg 2 alusel |
| 16.01.2018 | Entry | Amendment entry |
| 07.11.2017 | Entry | Amendment entry |
| 28.09.2017 | Entry | Amendment entry |
| 22.03.2013 | Entry | Amendment entry |
| 15.03.2013 | Order to remedy deficiencies | Amendment entry |
| 15.03.2013 | Kättetoimetatav määrus | Amendment entry |
| 15.03.2013 | Order to remedy deficiencies | Amendment entry |
| 13.09.2012 | Negative entry order: deficiencies not remedied | Amendment entry |
| 14.05.2012 | Order to remedy deficiencies | Amendment entry |
| 18.04.2012 | Order to remedy deficiencies | Amendment entry |
| 06.07.2010 | Entry | Muutmiskanne ÄS § 525 lg 2 alusel |
| 05.07.2010 | Entry | Muutmiskanne ÄS § 525 lg 2 alusel |
| 09.09.2009 | Entry | Amendment entry |
| 03.12.2008 | Tegevusalade kustutamine registrikaardilt | Amendment entry |
| 22.03.2004 | Jaatav kandeotsus | Amendment entry |
| 02.10.2002 | Kandeotsus ex officio | Märkus |