Activities of holding companies
seed & speed GmbH
Poststraße 21-22, 10178 Berlin, DEUMaster Data
Basic information of the organization
Financial Overview
Indicators extracted from public financial statements
History
Changes published in the official company registry
Management
Legal representatives of the organization
| Name | Role |
|---|---|
Jesko Dr. Petersen since 9/8/2025 | Procura |
Alexander Kölpin since 1/17/2020 | Managing Director |
Carsten J. Dr. h.c. Maschmeyer since 1/17/2020 | Managing Director |
Beneficial Owners
Natural persons who ultimately own or control the company, resolved through the shareholder chain
Unresolved chains (1)
| Name | Ownership |
|---|---|
| 100.00% |
Shareholders
Company ownership and partner structure
1 shareholder
GmbH structure
Holdings
Companies in which this organization holds a direct stake
| Name | Ownership |
|---|---|
rebirth-active GmbHDissolved | 40.76% |
| 37.95% | |
| 25.50% | |
Grundriss in Lebensgröße GmbHDissolved | 20.28% |
| 20.00% |
Balance Sheet Accounts
Balance sheet accounts extracted from public financial statements
Financial Report
Official financial statements and annual reports
seed & speed GmbHBerlinJahresabschluss zum Geschäftsjahr vom 01.01.2021 bis zum 31.12.2021Bilanz
Anhang
Allgemeine Angaben zum Jahresabschluss
Angaben zu Bilanzierungs- und Bewertungsmethoden Bilanzierungs- und Bewertungsgrundsätze Das Sachanlagevermögen wurde zu Anschaffungs- bzw. Herstellungskosten angesetzt und, soweit abnutzbar, um planmäßige Abschreibungen vermindert. Die Abschreibung erfolgte linear. Die geringwertigen Wirtschaftsgüter werden im Zugangsjahr voll abgeschrieben. Die Bewertung der Finanzanlagen erfolgte mit den Anschaffungskosten unter Berücksichtigung der Anschaffungsnebenkosten und Anschaffungskostenminderung. Forderungen aus Lieferung und Leistung sowie die sonstigen Vermögensgegenstände wurden zum Nennwert bilanziert. Die Guthaben bei Kreditinstuten wurden zum Nennwert bilanziert. Der aktive Rechnungsabgrenzungsposten wird mit dem Nennwert ausgewiesen. Das gezeichnete Kapital wurde vollständig eingezahlt und zum Nennwert bilanziert. Die Rückstellungen wurden für alle weiteren ungewissen Verbindlichkeiten gebildet. Dabei wurden alle erkennbaren Risiken berücksichtigt. Verbindlichkeiten wurden zum Erfüllungsbetrag angesetzt. Angaben zur Bilanz Das Stammkapital beträgt EUR 100.000,00. Der Betrag der Verbindlichkeiten mit einer Restlaufzeit bis zu einem Jahr beträgt EUR 127.462,48 (Vorjahr: EUR 136.843,34). Sonstige Angaben Durchschnittliche Zahl der während des Geschäftsjahrs beschäftigten Arbeitnehmer Die durchschnittliche Zahl der während des Geschäftsjahres im Unternehmen beschäftigten Arbeitnehmer betrug 8. sonstige Berichtsbestandteile
Unterschrift der Geschäftsführung
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Insolvency Notices
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Commercial Register Documents
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Organizations at this Address
Other companies registered at or near this business location
78 nearby organizations
Venture capital investment companies
Management activities of other holding companies
Computer consultancy activities
Museum and collection activities
Activities of holding companies
Activities of holding companies
Management of non-residential real estate on a fee or contract basis
Buying and selling of own non-residential real estate
Wholesale of fruit and vegetables
Provision of other services for non-artistic events
Buying and selling of own non-residential real estate
Buying and selling of own non-residential real estate
Buying and selling of own non-residential real estate
Management activities of other holding companies
Management of non-residential real estate on a fee or contract basis
Buying and selling of own non-residential real estate
Activities of real estate agencies relating to residential real estate
LIPTIS GmbH
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Management activities of other holding companies
BERVEL GmbH
40mWholesale of machine tools
Wholesale of sports goods and their accessories
Consulting architectural activities in interior design
Agents involved in the sale of tools
Consulting architectural activities in building construction
IZ Kiez GmbH
64mRenting and operating of own or leased non-residential real estate
Retail sale of books
Engineering activities for technical building equipment
Production of electricity from renewable sources for distribution
Manufacture of oils and fats
Other information service activities
Activities of holding companies
Management activities of other holding companies
Activities of holding companies
Manufacture of bicycles and invalid carriages
Activities of holding companies
Renting and leasing of recreational and sports goods
General and political adult education
Retail sale of pharmaceutical products
Activities of holding companies
Intermediation service activities for specialised construction services
Intermediation service activities for food and beverage services activities
Management activities of other holding companies
Paxium GmbH
89mComputer consultancy activities
Manufacture of power-driven hand tools
General cleaning of buildings
Wholesale of perfume and cosmetics
Intermediation of loans
Activities of holding companies
BeLü GmbH
89mBeverage serving activities n.e.c.
Computer consultancy activities
Management activities of other holding companies
Palary GmbH
97mOther information service activities
Juleica GmbH
99mRenting and leasing of recreational and sports goods
Advertising agencies
Retail sale of cosmetic and toilet articles
Buying and selling of own non-residential real estate
Retail sale of antiques and antique rugs
Financial Overview
Indicators extracted from public financial statements
Commercial Register Documents
Real-time document download from the commercial register
Insolvency Notices
Real-time check for insolvency notices from register courts
Current insolvency proceedings
Check if there are any insolvency proceedings for this company