Elva Tarbijate Ühistu

10023216

General info

Name

Elva Tarbijate Ühistu

Registry code

10023216

VAT number

EE100281473

Type

TÜH - General Partnership

Status

Registered

Foundation date

15.04.1996 (28)

Financial year

01.01-31.12

Activity

47599 - Retail sale of household articles and equipment n.e.c. 68201 - Rental and operating of own or leased real estate 47191 - Other retail sale in non-specialised stores 47529 - Retail sale of other building material and goods in specialised stores 47111 - Retail sale in non-specialised stores with food, beverages or tobacco predominating

Revenue

48 102 057 €

Profit

1 773 070 €

Profit margin

4%

Gross salary

1 775 €

(estimate is approximate)

Equity

21 647 238 €

Employees

202

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

8%

Return on assets

7%

Related parties

Owner Representative Beneficial owner Roles

Hando Ivask

14.04.1963 (61)

- Procurator Member of a higher management body, i.e. board member or supervisory board member

Ingi Luts

15.03.1962 (62)

- Board member Member of a higher management body, i.e. board member or supervisory board member

Külliki Kull

05.08.1969 (55)

- Board member Member of a higher management body, i.e. board member or supervisory board member

Aavo Kiisler

22.07.1945 (79)

- - - Board member

Aivar Napritson

11.11.1966 (57)

- - - Board member

AIVAR NIGOL

29.05.1965 (59)

- - - Board member

Ants Rodima

01.02.1943 (81)

- - - Board member

Arvi Sepp

04.11.1938 (85)

- - - Board member

Helve Tenno

13.10.1950 (73)

- - - Board member

KRISTI NAGLA

29.07.1978 (46)

- - - Board member

Tiit Ustav

15.04.1953 (71)

- - - Board member

Ülo Lepik

28.10.1937 (86)

- - - Board member

Olavi Jõesaar

20.08.1958 (66)

- - - Chairman of the board

Financial info

2019
03.03.2020
2020
14.03.2021
2021
11.03.2022
2022
05.03.2023
2023
22.03.2024
Total Revenue 36 218 868 € 40 464 043 € 43 486 133 € 46 994 315 € 48 102 057 €
Net profit (loss) for the period 985 176 € 1 421 469 € 3 449 155 € 1 658 185 € 1 773 070 €
Profit Margin 3% 4% 8% 4% 4%
Current Assets 3 779 342 € 6 012 293 € 8 564 627 € 10 353 277 € 9 564 815 €
Fixed Assets 12 193 253 € 11 649 247 € 12 420 348 € 12 523 036 € 15 381 058 €
Total Assets 15 972 595 € 17 661 540 € 20 984 975 € 22 876 313 € 24 945 873 €
Current Liabilities 2 557 077 € 2 816 639 € 2 663 642 € 2 829 620 € 3 120 441 €
Non Current Liabilities 70 148 € 78 067 € 105 347 € 172 525 € 178 194 €
Total Liabilities 2 627 225 € 2 894 706 € 2 768 989 € 3 002 145 € 3 298 635 €
Share Capital - - - - -
Equity 13 345 370 € 14 766 834 € 18 215 986 € 19 874 168 € 21 647 238 €
Employees 206 208 211 208 202

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 11 371 725.94 € 998 049.02 € 653 236.91 € 275
2023 Q4 10 751 406.53 € 445 660.03 € 461 047.44 € 266
2023 Q3 14 027 164.76 € 855 309.27 € 536 198.88 € 258
2023 Q2 12 723 301.85 € 727 212.68 € 438 068.28 € 274
2023 Q1 11 428 809.15 € 933 246.84 € 570 188.06 € 268
2022 Q4 11 436 590.64 € 692 420.13 € 418 939.71 € 262
2022 Q3 14 109 802.54 € 922 697.54 € 473 802.41 € 262
2022 Q2 11 697 643.04 € 666 024.21 € 412 655.28 € 283
2022 Q1 10 526 823.46 € 808 603.35 € 485 492.32 € 260
2021 Q4 10 465 836.49 € 674 280.33 € 356 499.91 € 254
2021 Q3 12 872 461.47 € 957 703.44 € 506 676.41 € 258
2021 Q2 10 826 639.25 € 578 237.3 € 348 918.17 € 289
2021 Q1 9 963 291.01 € 802 834.3 € 478 516.92 € 267
2020 Q4 9 762 755.24 € 605 938.65 € 362 592.82 € 275
2020 Q3 11 867 101.64 € 754 456.01 € 395 442.21 € 276
2020 Q2 10 519 731.2 € 611 599.87 € 333 051.5 € 292
2020 Q1 8 724 483.21 € 690 668.9 € 445 351.1 € 271