DEVORI KAUBANDUSE AS

(10222766)

General info

Company name: DEVORI KAUBANDUSE AKTSIASELTS
Name in transliteration: DEVORI KAUBANDUSE AKTSIASELTS
Registration code: 10222766
VAT number: EE100242690
Statistical code:
Legal status: registered
Address: KASSI TN 12, MUSTAMAE LINNAOSA, TALLINN, HARJU MAAKOND, 12618, EESTI
Capital: 25 565.00 EUR
Activities: NACE Rev.2: 47.78 - Other retail sale of new goods in specialised stores
Legal form: Joint-stock company
Date of registration: 20.06.1997

Contacts

  • +372 650****
  • andrus@de******
  • www.devo****
  • www.autovär*****

Credit Opinion

Low risk
Credit rating Description Probability of payment default within the next 12 months (%)
AAA Lowest risk. The company has excellent financial Indicators. High credit terms are recommended. 0.01 - 0.09%
AA Lower risk. Long-established company with a stable business. 0.09 - 0.47%
A Low risk. Reliable company. Growth trend. 0.47 - 1.07%
BBB Risk below normal. Reliable company. 1.07 - 2.18%
BB Normal risk. 2.18 - 4.46%
B Normal risk. 4.46 - 13.36%
CCC Risk above normal. Short term credit only. 13.36 - 31.83%
CC High risk. Any credit should be fully secured. 31.83 - 61.7%
C Higher risk. No credit term to be granted. 61.7 - 84.15%
D Highest risk. The company on the verge of bankruptcy. 84.15 - 92.03%
CCO The company ceased operations. 100%
BPS Application to the court for recognition of bankruptcy is filed. 100%
BNC The company is declared bankrupt by the court. 100%
CRP The company is in receivership proceedings. 95%
LQP The company has started liquidation process. 100%
LQF The company is liquidated (dissolved, wound up). 100%
TNR Temporary rating cannot be given. 80%
CCQ The company cannot be rated because it operates as a holding company or conducts financial activities. 31.83%
NRQ The company cannot be rated due to lack of information. 80%
CNT The company is not traced. 100%
NEW The company is a newly established business. 31.83%
RRB The company has recently reorganized business. 31.83%
BRA The company is a branch. 31.83%
MRR The company was recently in a merger process. 31.83%
DIV The company was recently in a division process. 31.83%
Normal risk
Credit rating Description Probability of payment default within the next 12 months (%)
AAA Lowest risk. The company has excellent financial Indicators. High credit terms are recommended. 0.01 - 0.09%
AA Lower risk. Long-established company with a stable business. 0.09 - 0.47%
A Low risk. Reliable company. Growth trend. 0.47 - 1.07%
BBB Risk below normal. Reliable company. 1.07 - 2.18%
BB Normal risk. 2.18 - 4.46%
B Normal risk. 4.46 - 13.36%
CCC Risk above normal. Short term credit only. 13.36 - 31.83%
CC High risk. Any credit should be fully secured. 31.83 - 61.7%
C Higher risk. No credit term to be granted. 61.7 - 84.15%
D Highest risk. The company on the verge of bankruptcy. 84.15 - 92.03%
CCO The company ceased operations. 100%
BPS Application to the court for recognition of bankruptcy is filed. 100%
BNC The company is declared bankrupt by the court. 100%
CRP The company is in receivership proceedings. 95%
LQP The company has started liquidation process. 100%
LQF The company is liquidated (dissolved, wound up). 100%
TNR Temporary rating cannot be given. 80%
CCQ The company cannot be rated because it operates as a holding company or conducts financial activities. 31.83%
NRQ The company cannot be rated due to lack of information. 80%
CNT The company is not traced. 100%
NEW The company is a newly established business. 31.83%
RRB The company has recently reorganized business. 31.83%
BRA The company is a branch. 31.83%
MRR The company was recently in a merger process. 31.83%
DIV The company was recently in a division process. 31.83%
Average risk
Credit rating Description Probability of payment default within the next 12 months (%)
AAA Lowest risk. The company has excellent financial Indicators. High credit terms are recommended. 0.01 - 0.09%
AA Lower risk. Long-established company with a stable business. 0.09 - 0.47%
A Low risk. Reliable company. Growth trend. 0.47 - 1.07%
BBB Risk below normal. Reliable company. 1.07 - 2.18%
BB Normal risk. 2.18 - 4.46%
B Normal risk. 4.46 - 13.36%
CCC Risk above normal. Short term credit only. 13.36 - 31.83%
CC High risk. Any credit should be fully secured. 31.83 - 61.7%
C Higher risk. No credit term to be granted. 61.7 - 84.15%
D Highest risk. The company on the verge of bankruptcy. 84.15 - 92.03%
CCO The company ceased operations. 100%
BPS Application to the court for recognition of bankruptcy is filed. 100%
BNC The company is declared bankrupt by the court. 100%
CRP The company is in receivership proceedings. 95%
LQP The company has started liquidation process. 100%
LQF The company is liquidated (dissolved, wound up). 100%
TNR Temporary rating cannot be given. 80%
CCQ The company cannot be rated because it operates as a holding company or conducts financial activities. 31.83%
NRQ The company cannot be rated due to lack of information. 80%
CNT The company is not traced. 100%
NEW The company is a newly established business. 31.83%
RRB The company has recently reorganized business. 31.83%
BRA The company is a branch. 31.83%
MRR The company was recently in a merger process. 31.83%
DIV The company was recently in a division process. 31.83%
High risk
Credit rating Description Probability of payment default within the next 12 months (%)
AAA Lowest risk. The company has excellent financial Indicators. High credit terms are recommended. 0.01 - 0.09%
AA Lower risk. Long-established company with a stable business. 0.09 - 0.47%
A Low risk. Reliable company. Growth trend. 0.47 - 1.07%
BBB Risk below normal. Reliable company. 1.07 - 2.18%
BB Normal risk. 2.18 - 4.46%
B Normal risk. 4.46 - 13.36%
CCC Risk above normal. Short term credit only. 13.36 - 31.83%
CC High risk. Any credit should be fully secured. 31.83 - 61.7%
C Higher risk. No credit term to be granted. 61.7 - 84.15%
D Highest risk. The company on the verge of bankruptcy. 84.15 - 92.03%
CCO The company ceased operations. 100%
BPS Application to the court for recognition of bankruptcy is filed. 100%
BNC The company is declared bankrupt by the court. 100%
CRP The company is in receivership proceedings. 95%
LQP The company has started liquidation process. 100%
LQF The company is liquidated (dissolved, wound up). 100%
TNR Temporary rating cannot be given. 80%
CCQ The company cannot be rated because it operates as a holding company or conducts financial activities. 31.83%
NRQ The company cannot be rated due to lack of information. 80%
CNT The company is not traced. 100%
NEW The company is a newly established business. 31.83%
RRB The company has recently reorganized business. 31.83%
BRA The company is a branch. 31.83%
MRR The company was recently in a merger process. 31.83%
DIV The company was recently in a division process. 31.83%

Turnover

net profit

Employees

Managers

Role Name Code / Date of birth Residence / location Start date Revision date
Member of the management board ANDRUS B. 36211****** ******* **********
Member of the supervisory board LAURI B. 38406****** ******* **********
Member of the supervisory board SIIM E. 50308****** ******* **********
Member of the supervisory board TIINA K. 46302****** ******* **********
Stock book keeper NASDAQ C. 40003242879 ****** **********
Auditor EL F. 11896005 ******* **********

Shareholders

Name Code / Date of birth Residence / location Share Share, % Start date Revision date
OMANIKUKONTO: A. *********** ******* ************* ****** **********

Beneficiaries

Name Code / Date of birth Residence / location Share, % Start date Revision date
SIIM E. *********** ******* **********
ANDRUS B. *********** ******* **********
LAURI B. *********** ******* **********
TIINA K. *********** ******* **********

Summary

  • DEVORI KAUBANDUSE AKTSIASELTS has been registered on 20.06.1997.
  • The number of active managers in DEVORI KAUBANDUSE AKTSIASELTS is 6.
  • The number of active shareholders in DEVORI KAUBANDUSE AKTSIASELTS is 1.
  • The company has been operating in the market for 26 years and 9 months.
  • The status of the company is registered.
  • The company's activity is NACE Rev.2 - Other retail sale of new goods in specialised stores.
  • Share capital is 25 565.00 EUR.
  • The company had 18 employees in 31.12.2022 year.
  • The annual turnover of DEVORI KAUBANDUSE AKTSIASELTS in 31.12.2022 was 2 245 343.00 EUR.

Similar companies

Company name
Registry code
VAT number
Statistical code
Activity field
Status
Registry code: 10165452
VAT number: EE100151082
Statistical code:
Activity field: Other retail sale of new goods in specialised stores
Status:
registered
Registry code: 10310546
VAT number: EE100305605
Statistical code:
Activity field: Other retail sale of new goods in specialised stores
Status:
registered
Registry code: 10093646
VAT number: EE100284768
Statistical code:
Activity field: Other retail sale of new goods in specialised stores
Status:
registered
Registry code: 10081927
VAT number: EE100421589
Statistical code:
Activity field: Other retail sale of new goods in specialised stores
Status:
registered
Registry code: 10669454
VAT number: EE100613999
Statistical code:
Activity field: Other retail sale of new goods in specialised stores
Status:
registered

Order report forDEVORI KAUBANDUSE AKTSIASELTS

Report icon
Copied Amount of employees