Business profile

Rakennusliike Meiner Oy

Rakennusliike Meiner Oy's registered office is Kerava. It is a limited company. The company was established on 2019-12-12. It operates in the industry of construction of residential and non-residential buildings. In its latest retained statement for 2025-12-31, revenue was €72,009 and operating profit was -€1,206.

Claim profileContact details
Business ID 3104674-9ValidUnclaimed company profile

Trusted core data

Public company details from the trade register.

Business ID
3104674-9
Sector
Construction of residential and non-residential buildings
Municipality
Kerava
Company form
Limited company
Registration date
2019-12-12
Business ID registration date
2019-12-11
Business status
Valid
Profile ownership
Unclaimed company profile
Data source
Public registry data

Contact and location summary

Visiting address: Palopellonkatu 14 A 17, 04250, Kerava

Postal address: Välitie 20 A 11, 04340, Tuusula

Phone: +358400471970Source observation

Email: [email protected]Source observation

People and decision-makers

Meiner MaikoToimitusjohtaja

About Rakennusliike Meiner Oy

Financial position and key figures for the company.

Rakennusliike Meiner Oy's location municipality is Kerava. It is a limited company. The company was established on 2019-12-12. It operates in the industry of construction of residential and non-residential buildings. In its latest retained statement for 2025-12-31, revenue was €72,009 and operating profit was -€1,206. The latest retained financial statement for 2025-12-31 shows revenue of €72,009 and profit for the financial year of -€4,253. Based on the latest retained statement, revenue growth was +2.9%, operating margin was -1.7%, and equity ratio was -25.1%.

Financial highlights

Key figures from the latest financial period.

Open full statement
Latest financial period

2025-12-31

Imported periods6
PRH parsed6
Profile sourceCombined source
Derived indicators
Revenue growth2.9%
Operating margin-1.7%
Equity ratio-25.1%
Balance-sheet contextLatest retained period snapshot
Other operating income€0Previous: €4,392
Cash and bank€2,701Previous: €6,375
Retained earnings-€8,374Previous: -€4,449
Profit before taxes-€4,253Previous: -€3,924
Equity-€12,627Previous: -€8,374
Liabilities€62,956Previous: €72,193
Current assets€9,125Previous: €8,880
Current liabilities€23,941Previous: €21,524
Employees1Previous: 1
Revenue trend6 periods
€55,362
2020-12-31
€45,731
2021-12-31
€64,938
2022-12-31
€57,999
2023-12-31
€70,011
2024-12-31
€72,009
2025-12-31
Operating profit (loss) trend6 periods
€27,019
2020-12-31
-€7,944
2021-12-31
€3,866
2022-12-31
-€12,093
2023-12-31
€251
2024-12-31
-€1,206
2025-12-31
Profit (loss) for the financial year trend6 periods
€21,572
2020-12-31
-€10,051
2021-12-31
€2,362
2022-12-31
-€14,913
2023-12-31
-€3,925
2024-12-31
-€4,253
2025-12-31
Assets trend6 periods
€31,939
2020-12-31
€28,327
2021-12-31
€28,368
2022-12-31
€58,749
2023-12-31
€63,819
2024-12-31
€50,329
2025-12-31

Financial ratios

Financial ratios based on financial statement data. Source: Yhdistetty lähde.

Equity ratioWeak
0/100 · Declining
-25.1 %2024-12-31: -13.1 %
Current ratioWeak
4/100 · Declining
0.11x2024-12-31: 0.30x
Operating profit marginWeak
46/100 · Declining
-1.7 %2024-12-31: 0.3 %
Ratio history
Ratio2020-12-312021-12-312022-12-312023-12-312024-12-312025-12-31
Equity ratio67.5 %34.6 %40.1 %-7.6 %-13.1 %-25.1 %
Current ratio0.83x0.55x0.77x0.52x0.30x0.11x
Operating profit margin47.1 %-17.4 %6.0 %-18.3 %0.3 %-1.7 %

Registry status and identifiers

Verified registry memberships and identifiers from the latest retained YTJ snapshot.

YTJ statusValid
Trade RegisterRegistered
Business ID3104674-9
VAT IDFI31046749
EU IDFIFPRO.3104674-9
MunicipalityKerava
Current registered entries
2019-12-11Registered in Tax Administration (Prepayment Register)
2019-12-12Registered in Tax Administration (Tax Administration)
2019-12-12Registered in Patent and Registration Office (Trade Register)
2020-01-01VAT-liable for business activity in Tax Administration (VAT Register)

Responsible people

Public role relationships materialized from source observations.

Meiner MaikoToimitusjohtajaSources: 5 · Confidence: 78%
Meiner MaikoVarsinainen jäsenSources: 2 · Confidence: 78%
Meiner MarjuVarajäsenSources: 2 · Confidence: 78%

Risk certificate

An open-data based company stability and risk signal.

BUSINESS.fi

BUSINESS.fi Luottoluokitus

Profile-specific risk signal based on open data

Financial data includedNot a credit decision
C
Elevated riskRakennusliike Meiner Oy
Updated2026-08-28
ConfidenceHigh
Score32/100

The grade can use open digital financial statement data together with registry signals.

Risk context

When open digital financial statements are unavailable, BUSINESS.fi shows registry, industry, and regional context.

Industry riskhigh
25/100

Industry context is high based on normalized open statistical inputs.

Age and continuityHyvä
60/100

The company has about 6 years of registry continuity.

Registry and status signalsSeurattava
62/100

Registry history, filing recency, and active register markings are still limited or mixed.

Registry timeline

Trade register notifications shown on a timeline.

12 register eventsLatest event: 2026-03-21

Financial statements availability

Available statement periods and links into the retained/parsible financial statement surfaces. Use the latest statement page for deeper line-item detail.

6 financial statement periodsLatest financial period: 2025-12-31

Profile source and ownership

Profile based on public registry data
BUSINESS.fi has created this profile from public company information. Source data updated 2025-12-31.

This company profile has not been claimed yet

Rakennusliike Meiner Oy shows public core facts. A company representative can claim the profile, update public information, and access owner tools.