ETENRU
RegisteredJärva County
Registry code
11196147
VAT number
EE101019068
Address
Järva maakond, Paide linn, Mäo küla, Sakreti, 72751
Registered
01.12.2005 · 20 yrs
Activity
Manufacture of ready-mixed concrete 23631
Additional activities
Sanitaarseadmete ja mujal liigitamata ehitusmaterjalide hulgimüük
Capital
518 000 €
Email
i•••@s•••.eeLog in to see
Phone
+372 5•• ••••Log in to see
Website
www.sakret.ee
Business Register 06.10.2026
Sales revenue8,6 m €+3%2025 annual report
Profit432 k €2025 annual report
Employees28Tax Board 2026 Q2
Average gross salary2 372 €estimate, Tax Board 2026 Q2
Labour taxes per quarter102 k €Tax Board 2026 Q2
Cash302 k €Cash 31.12.2025, annual report
Tax debt0 €Tax Board debtor list 05.10.2026
Revenue 12 months13,4 m €-2%Tax Board, last 4 quarters
State taxes 12 months1,9 m €Tax Board, last 4 quarters
Tax debt since 26.09.2026 · ✓ no debt
Details ↓
Turnover by quarter · latest 4,1 mln €
4,4 M3,5 M1,8 M3,9 M4,1 M3,4 M1,9 M4,1 M
III 24IV 24I 25II 25III 25IV 25I 26II 26
Chart ↓
Firmo rating
AAA
Excellent, very low risk
88 / 100 points
CBBBBBBAAAAAA
View credit reportReport a debtHow the rating is calculatedCalculated 06.10.2026 · open data
Quick check
  • No tax debt
  • No enforcement proceedings (12 months)
  • No payment orders (12 months)
  • No bankruptcy or liquidation
  • No sanctions
  • Report filed (2025)
  • VAT registered
Stability
RatingAA → AAA
In tax debt0 days since 26.09.2026
Revenue 12 months▼ 2% vs a year earlier
Notification when something changes
Add the rating badge to your website

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Data

Board and owners

2 persons
Number of active companies, tax debt and bankruptcy. Facts, not an assessment.
Board 2
Laura Mikelsone1 companyno tax debt21.08.1981 (45 a)Personal ID ↗07.12.2021
Vadim Post2 companiesno tax debtPersonal ID ↗03.01.2025
Shareholders 1
SAKRET HOLDINGS JS100,0% 518 000 €01.09.2023
Beneficial owners 1
Māris Kelpiskaudne osalus29.10.2018

Business Register open data

Quarterly taxes and revenue

2026 Q2
State taxes / revenue12,9%
Labour taxes / revenue2,5%
Revenue per employee per month48 691 €
Gross salary (estimate)2 372 €
Net salary (estimate)1 938 €

2026 Q2. Wage is estimated from employment taxes.

Build report

QuarterRevenueChange y/yLabour taxesState taxesEmployees
2026 Q24 090 048 €▲ 4%101 635 €528 208 €28
2026 Q11 853 210 €▲ 1%99 097 €246 163 €27
2025 Q43 354 348 €▼ 4%102 004 €532 784 €25
2025 Q34 144 989 €▼ 5%103 397 €613 557 €26
2025 Q23 926 103 €▲ 8%95 551 €475 677 €29
2025 Q11 839 647 €▲ 30%94 495 €228 130 €25
2024 Q43 503 931 €▲ 16%98 465 €446 581 €26
2024 Q34 379 542 €▲ 2%102 704 €595 594 €26
2024 Q23 636 009 €▲ 7%88 717 €441 624 €26
2024 Q11 418 118 €▼ 18%91 465 €180 465 €26
2023 Q43 025 848 €▼ 11%94 154 €362 030 €26
2023 Q34 295 195 €▼ 4%98 151 €495 215 €25
Show full history (18 quarters)
2023 Q23 394 277 €▼ 16%82 072 €398 118 €27
2023 Q11 725 100 €▲ 4%79 418 €207 404 €24
2022 Q43 408 263 €89 471 €389 630 €25
2022 Q34 489 038 €103 645 €439 622 €27
2022 Q24 037 729 €81 851 €418 941 €28
2022 Q11 653 809 €90 907 €167 315 €27

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
Build report

20252024202320222021
Sales revenue8,6 m €▲ 3%8,3 m €▲ 4%8,1 m €▼ 9%8,8 m €▲ 20%7,3 m €
Profit432 k €0%430 k €▲ 6%406 k €▲ 26%321 k €▲ 61%200 k €
Profit margin5,0%5,2%5,0%3,6%2,7%
Retained earnings2,1 m €▲ 4%2,0 m €▲ 10%1,8 m €▲ 21%1,5 m €▲ 15%1,3 m €
Cash302 k €▲ 2%295 k €▲ 9%270 k €▲ 16%233 k €▲ 21%192 k €
Current assets2,3 m €▼ 2%2,3 m €▲ 19%2,0 m €▼ 18%2,4 m €▲ 15%2,1 m €
Fixed assets1,9 m €▼ 5%2,0 m €▼ 6%2,1 m €▼ 6%2,2 m €▼ 6%2,4 m €
Assets4,2 m €▼ 4%4,3 m €▲ 6%4,1 m €▼ 12%4,6 m €▲ 4%4,5 m €
Current liabilities1,1 m €▼ 18%1,3 m €▲ 1%1,3 m €▼ 33%1,9 m €▲ 43%1,4 m €
Long-term liabilities25 857 €0%25 857 €0 €▼ 100%337 k €▼ 69%1,1 m €
Total liabilities1,1 m €▼ 17%1,4 m €▲ 3%1,3 m €▼ 43%2,3 m €▼ 6%2,4 m €
Equity3,1 m €▲ 3%3,0 m €▲ 8%2,8 m €▲ 17%2,4 m €▲ 16%2,0 m €
Labour costs957 k €▲ 5%914 k €▲ 6%864 k €▲ 3%835 k €▼ 4%866 k €
Employees27▲ 4%260%260%260%26
Filed17.03.202614.03.202513.03.202422.03.202322.03.2022
ReportPDF ↓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
ActivityEMTAKSales revenueOsa
Manufacture of ready-mixed concrete main activity236317 208 244 €84%
Sanitaarseadmete ja mujal liigitamata ehitusmaterjalide hulgimüük468321 366 436 €16%

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
No tax debt · Tax Board 05.10.2026

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

46 986 € makseid · 2 tenders · 3 toetust

Transactions with state institutions

202615 022 €
202523 628 €
20246 720 €
20231 616 €

Largest payers

MAJANDUS- JA KOMMUNIKATSIOONIMINISTEERIUM41 844 €
Eesti Töötukassa3 546 €
Järvamaa Rakenduslik Kolledž1 596 €
All payments by month
MonthPayerTypeFieldAmount
07.2026MAJANDUS- JA KOMMUNIKATSIOONIMINISTEERIUMMuud toetusedOther general government services15 022 €
11.2025Järvamaa Rakenduslik KolledžOperating costsVocational education973 €
05.2025MAJANDUS- JA KOMMUNIKATSIOONIMINISTEERIUMMuud toetusedGeneral economic and trade policy20 102 €
03.2025Eesti TöötukassaOperating costsSocial protection of the unemployed1 931 €
02.2025Järvamaa Rakenduslik KolledžOperating costsVocational education622 €
10.2024MAJANDUS- JA KOMMUNIKATSIOONIMINISTEERIUMMuud toetusedOther general government services6 720 €
11.2023Eesti TöötukassaOperating costsSocial protection of the unemployed1 616 €

Riigi Tugiteenuste Keskus, Saldo makseandmikud

Public procurement contracts

DateContracting authorityTenderAmount
11.03.2026Enefit Industry OÜMÜÜGI RAAMLEPING37 425 €
05.03.2025Enefit Power ASMüügileping145 000 €

Public Procurement Register

Toetuse saanud projektid toetus kokku 41 844 €

ProjektMeedePerioodToetusVälja makstud
Sakret OÜ tootmisprotsessi digitaliseerimine
Lõpetatud · Ettevõtluse ja Innovatsiooni Sihtasutus
(EK nr 1.2) Digitaliseerimisest kasu toomine13.02.2026 – 31.05.202615 022 €21 460 €
Sakret OÜ tootmissüsteemide kaasajastamine läbi digitaliseerimise
Lõpetatud · Ettevõtluse ja Innovatsiooni Sihtasutus
Majanduse digipöörde toetamine13.11.2024 – 10.03.202520 102 €50 832 €
Sakret OÜ digitaliseerimise teekaardi koostamine
Lõpetatud · Ettevõtluse ja Innovatsiooni Sihtasutus
(EK nr 1.2) Digitaliseerimisest kasu toomine13.08.2024 – 13.10.20246 720 €9 600 €

Riigi Tugiteenuste Keskus, toetatud projektid

Holdings in other companies

0

No holdings in other companies

Companies linked via the board

1

Sorted by revenue (latest report or 4 quarters).

Top 20 in activity: Manufacture of ready-mixed concrete

14

Revenue from the latest annual report, otherwise Tax Board revenue for 4 quarters. All companies in this activity

Pandid, domeenid

3 records

Commercial pledges

NumberPandipidajaAmountSince
10BluOr Bank AS1 650 000 €31.10.2023
6AS BlueOrange Bank5 250 000 €03.09.2019

Domains

DomainSource
sakret.eeBusiness Register

History and notices

40
DateTypeContent
27.11.2025EntryKommertspandi kustutamiskanne
27.11.2025EntryKommertspandi kustutamiskanne
03.01.2025EntryAmendment entry
28.10.2024EntryAmendment entry
22.07.2024EntryAmendment entry
01.11.2023EntryKommertspandi muutmiskanne
31.10.2023EntryKommertspandi kustutamiskanne
31.10.2023EntryKommertspandi avamiskanne
25.10.2023Administrative orderKommertspandi avamiskanne
01.09.2023EntryAmendment entry
05.04.2022Lõivu tagastamise määrus (NAP)
01.04.2022EntryAmendment entry
07.12.2021EntryAmendment entry
12.10.2021EntryKommertspandi kustutamiskanne
25.08.2021EntryKommertspandi avamiskanne
25.08.2021EntryKommertspandi avamiskanne
24.08.2021Administrative orderMuutmiskanne ÄS § 525 lg 2 alusel
16.03.2021EntryMuutmiskanne ÄS § 525 lg 2 alusel
30.12.2019EntryAmendment entry
21.11.2019EntryKommertspandi avamiskanne
30.10.2019Order to remedy deficiencies to correct non-entry dataAmendment entry
29.10.2019Kandemäärus ex officioKommertspandi muutmiskanne
29.10.2019EntryKommertspandi muutmiskanne
28.10.2019EntryKommertspandi kustutamiskanne
08.10.2019EntryAmendment entry
03.09.2019EntryKommertspandi avamiskanne
03.09.2019EntryKommertspandi avamiskanne
15.01.2019EntryKommertspandi muutmiskanne
12.12.2018EntryAmendment entry
06.12.2018Määruse avalik kättetoimetamine AT-sMuutmiskanne ÄS § 525 lg 2 alusel
12.11.2018Negative entry order: deficiencies not remediedMuutmiskanne ÄS § 525 lg 2 alusel
29.10.2018Administrative orderMuutmiskanne ÄS § 525 lg 2 alusel
07.02.2018EntryAmendment entry
19.01.2018EntryAmendment entry
28.09.2017EntryAmendment entry
07.07.2017EntryAmendment entry
06.07.2017Order to remedy deficienciesAmendment entry
21.10.2016EntryAmendment entry
22.07.2016EntryAmendment entry
06.07.2016Order to remedy deficienciesAmendment entry