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Wolf Group OÜ

RegisteredPrivate limited company (OÜ)Registry code 10167362

Key factsLasnamäe linnaosa, Manufacture of paints, varnishes and similar coatings, printing ink and mastics
Registry code
10167362
VAT number
EE100195873
LEI code
5299003UJ7420BG4ZF49lapsed
Registered
10 Jan 1997
Address
Harju maakond, Tallinn, Lasnamäe linnaosa, Suur-Paala tn 10Harju maakondTallinnLasnamäe linnaosa
Base map and address location: Estonian Land and Spatial Development Board
Capital
€205,556
Financial year ends
31.12
Open in the business register

Charts

Revenue and net profit

From the annual reports (RIK).

Profit margin

From the annual reports (RIK).

Balance sheet structure

Equity and liabilities add up to total assets. From the annual reports.

Turnover and employees by quarter

Tax board quarterly data, last 12 quarters.

Annual report figures

Unconsolidated reports, amounts in euros. Employees are the annual average in full-time equivalents (FTE).

Download CSV
2025202420232022202120202019
Income statement
Revenue€71,897,091
−9.9%
€79,835,590
−10%
€89,089,740
−5.5%
€94,223,450
+7.4%
€87,695,412
+18%
€74,095,678
+15%
€64,293,684
Operating profit−€1,390,929€2,808,587€6,931,895€6,009,045€4,430,737€9,030,047€4,805,203
Net profit−€7,095,940
−160%
€11,782,810
+69%
€6,990,734
+6.8%
€6,542,976
+40%
€4,660,854
−44%
€8,336,974
+2.1%
€8,168,981
Profit margin−9.9%15%7.9%6.9%5.3%11%13%
Labour costs———————
Balance sheet
Total assets€61,908,329
−12%
€70,370,891
−0.6%
€70,805,957
+12%
€63,291,248
−5.7%
€67,110,138
+15%
€58,448,903
+17%
€49,888,427
Current assets€33,923,248€37,092,626€38,685,246€40,812,289€43,850,621€35,032,794€26,406,200
Cash€2,002,333€627,674€2,675,546€2,138,390€2,819,635€3,679,762€784,660
Current liabilities€20,781,231€25,188,002€27,010,643€19,476,542€24,228,282€14,446,062€13,837,479
Non-current liabilities€4,685,739€0€7,425,316€11,035,443€14,645,569€18,329,539€3,509,191
Equity€36,441,359
−19%
€45,182,889
+24%
€36,369,998
+11%
€32,779,263
+16%
€28,236,287
+10%
€25,673,302
−21%
€32,541,757
Ratios and staff
Current ratio1.631.471.432.101.812.431.91
Employees (FTE)———————
Revenue per employee———————

Tax board quarterly data

Taxes paid during the quarter, turnover from VAT returns and head count on the last day of the quarter.

QuarterTurnoverState taxesLabour taxesEmployeesAverage salary (estimate)
2026 Q2€27,092,816€384,061€771,131183€2,659
2026 Q1€19,184,253€926,275€755,624182€2,624
2025 Q4€25,721,676€31,184€784,175180€2,478
2025 Q3€23,860,843€1,176,982€845,084179€2,685
2025 Q2€26,751,234€489,838€1,003,163184€3,101
2025 Q1€20,646,816€575,128€847,008187€2,576
2024 Q4€27,469,759€130,195€823,693198€2,447
2024 Q3€27,487,504€368,452€849,539194€2,575
2024 Q2€29,417,625€438,615€795,283199€2,350
2024 Q1€23,872,082€750,789€998,899195€3,013
2023 Q4€32,088,890€0€743,155197€2,219
2023 Q3€31,912,857€43,612€785,645196€2,357
2023 Q2€29,362,475€21,356€881,664188€2,758
2023 Q1€30,363,679€707,146€647,539185€2,067
2022 Q4€33,982,443€0€675,196183€2,170
2022 Q3€28,875,602€0€672,297186€2,126
2022 Q2€35,351,949€893,367€828,167193€2,524
2022 Q1€30,671,559€564,488€693,365201€2,043

Tax debt

This company is not on the tax board's list of debtors as of 06 Oct 2026.

Source: the tax board's list of legal persons with tax debt. Each month shows its last snapshot. Not being on the list does not prove there is no tax debt.

What these figures mean

Tax board turnover sums the quarter's VAT returns, including reverse-charged purchases. It is not annual report revenue and the two are not added up. Turnover months lag the quarter by one month.

Quarterly head count is the employment register on the quarter's last day, excluding board members. Annual report FTE is the year's average in full-time equivalents.

Average salary is an estimate: the gross monthly salary per employee that the labour taxes imply. Labour taxes are paid, not earned, in the quarter, and part-time staff and tax exemptions skew the result.

The current ratio shows how many euros of current assets there are for each euro of current liabilities.