Mittetulundusühing Luminor Spordiklubi
(80255464)
Invalid names: Mittetulundusühing Nordea Spordiklubi.
General information
Registry code
80255464
Legal form
Non-profit association
Subtype
Ordinary non-profit association
Status
Registered
18.07.2007
Period of the financial year
01.01 - 31.12
Articles of association amended
Receipt of e-invoices
The legal person does not accept e-invoices.
Contacts
Address
Harju maakond, Tallinn, Kesklinna linnaosa, Liivalaia tn 45, 10145
Open map
E-mail address
Fax
+372 6283201
Telephone
+372 6283283
Tax information
Loading...
Annual reports
| Year | Submitted | Period | Status | |
|---|---|---|---|---|
|
|
04.09.2026 | 01.01.2025 - 31.12.2025 | Valid | PDF, DDOC |
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Statement of revenues and expenses |
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Balance |
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02.09.2025 | 01.01.2024 - 31.12.2024 | Valid | PDF, DDOC |
|
Statement of revenues and expenses |
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Balance |
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07.10.2024 | 01.01.2023 - 31.12.2023 | Valid | PDF, DDOC |
|
Statement of revenues and expenses |
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|
Statement of cash flows (indirect method) |
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Balance |
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26.07.2023 | 01.01.2022 - 31.12.2022 | Valid | PDF, DDOC |
|
Statement of revenues and expenses |
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|
Statement of cash flows (indirect method) |
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|
Balance |
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|
|
08.06.2022 | 01.01.2021 - 31.12.2021 | Valid | PDF, DDOC |
|
Statement of revenues and expenses |
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|
Statement of cash flows (indirect method) |
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Balance |
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15.06.2021 | 01.01.2020 - 31.12.2020 | Valid | PDF, DDOC |
|
Statement of revenues and expenses |
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|
Statement of cash flows (indirect method) |
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|
Balance |
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30.10.2020 | 01.01.2019 - 31.12.2019 | Valid | PDF, DDOC |
|
Statement of revenues and expenses |
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|
Statement of cash flows (indirect method) |
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|
Balance |
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|
10.06.2019 | 01.01.2018 - 31.12.2018 | Valid | PDF, DDOC |
|
Statement of revenues and expenses |
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|
Statement of cash flows (indirect method) |
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|
Balance |
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|
|
21.06.2018 | 01.01.2017 - 31.12.2017 | Valid | PDF, DDOC |
|
Statement of revenues and expenses |
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|
Statement of cash flows (indirect method) |
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|
Balance |
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05.04.2017 | 01.01.2016 - 31.12.2016 | Valid | PDF, DDOC |
|
Statement of revenues and expenses |
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|
Statement of cash flows (indirect method) |
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|
Balance |
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|
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29.02.2016 | 01.01.2015 - 31.12.2015 | Valid | PDF, DDOC |
|
Statement of revenues and expenses |
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|
Statement of cash flows (indirect method) |
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|
Balance |
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|
|
02.07.2015 | 01.01.2014 - 31.12.2014 | Valid | PDF, DDOC |
|
Statement of revenues and expenses |
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|
Statement of cash flows (indirect method) |
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|
Balance |
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|
|
06.11.2014 | 01.01.2013 - 31.12.2013 | Valid | PDF, DDOC |
|
Statement of revenues and expenses |
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|
Statement of cash flows (indirect method) |
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|
Balance |
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|
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02.07.2013 | 01.01.2012 - 31.12.2012 | Valid | PDF, DDOC |
|
Statement of cash flows (indirect method) |
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|
Statement of revenues and expenses |
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|
Balance |
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|
25.06.2012 | 01.01.2011 - 31.12.2011 | Valid | PDF, DDOC |
|
Statement of cash flows (indirect method) |
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|
Statement of revenues and expenses |
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|
Balance |
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|
13.05.2011 | 01.01.2010 - 31.12.2010 | Valid | PDF, DDOC |
|
Statement of cash flows (indirect method) |
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|
Statement of revenues and expenses |
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|
Balance |
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26.10.2010 | 01.01.2009 - 31.12.2009 | Valid | |
|
Cash Flow Statement |
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Balance |
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|
Profit and Loss Statement |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Revenue | 21 716 | 24 475 | 22 008 | 8 950 | 20 230 | 4 542 | 43 316 | 0 | 57 464 | 54 256 | 51 342 | 50 360 | 62 532 | 70 787 | |||
| Profit | - 877 | 1 662 | -2 466 | -10 389 | 5 928 | -12 172 | 17 764 | -18 623 | -12 344 | -4 578 | -6 996 | -11 049 | 14 791 | 7 590 | 8 053 | 20 107 | |
| Profit margin | -4.04% | 6.79% | -11.21% | -116.08% | 29.3% | -267.99% | 41.01% | - | -21.48% | -8.44% | -13.63% | -21.94% | 23.65% | 10.72% | - | - | - |
Articles of association
| Effective date | Valid until | Date of approval | Status | |
|---|---|---|---|---|
| 19.06.2019 | - | 09.05.2019 | Valid | |
| 22.08.2018 | 19.06.2019 | 10.05.2018 | Expired | |
| 18.07.2007 | 22.08.2018 | 17.07.2007 | Expired |
VAT information
The legal person is not liable to VAT.
| VAT number | VAT starting date | End date | Registration date of the end of obligation |
|---|
Right of representation
| Name |
Personal identification code |
Role |
Start
- end |
|
|---|---|---|---|---|
| Kristiina Männi |
48609042268
|
Management board member | 29.01.2021 | |
| Perit Post |
48404256527
|
Management board member | 23.02.2022 | |
| Andri Milov |
38505104227
|
Management board member | 22.08.2018 | |
| Rein Rohtla |
37401306045
|
Management board member | 21.06.2022 | |
| Evelin Ruus |
48809010248
|
Management board member | 18.07.2025 |
Special conditions of the right of representation
|
Beginning
- End
|
|
|---|---|
| Ühingu esindamise õigus on kahel juhatuse liikmel ühiselt. | 18.07.2007 |
No current special conditions of the right of representation
Activity licenses and notices of economic activities
| Register | Licences and registrations |
|---|---|
| The Register of Economic Activities (Notices) | 0 |
| The Register of Economic Activities (Licenses) | 0 |
Official Announcements
| Type | Start of publication |
|---|---|
| Loading... | |
Areas of activity
| Area of activity | EMTAK | Type |
|---|---|---|
|
|
93121 | Principal activity |
Immovable property
| Address | Register part |
|---|---|
| Loading... | |
Beneficial owners
| Name | Personal identification code / date of birth | Manner of exercising control | Start - end |
|---|---|---|---|
| Dane Must |
48710080340
|
Member or members of management board | 26.09.2022 |
| Rein Rohtla |
37401306045
|
Member or members of management board | 26.09.2022 |
| Perit Post |
48404256527
|
Member or members of management board | 15.02.2022 |
| Kristiina Männi |
48609042268
|
Member or members of management board | 18.01.2021 |
| Andri Milov |
38505104227
|
Member or members of management board | 29.10.2018 |
The data of the beneficial owners are informative
Data of beneficial owners has been updated on 04.09.2026
Data of beneficial owners has been updated on 04.09.2026