Aktsiaselts PAKETT

10028790

Company info

Aktsiaselts PAKETT

10028790

Pakett raamatutrükikoda - Pakett raamatutrükikodahttps://pakett.eePakett raamatutrükikoda - Pakett raamatutrükikoda

Raamatusõber ei tunne iialgi igavust ja ei heida kunagi üksi voodisse Valmistame nii pehme- kui kõvakaanelisi raamatuid, samuti keerulisemat järeltöötlust nõudvaid ja käsitöömahukaid töid. Trükime soodsalt mõnesajast kuni mõne tuhande raamatuni. Aitame isekirjastajatel välja anda oma raamatuid. Kontaktid  Oleme ligi 25 aastat keskendunud raamatute ja brošüüride trükkimisele. Valmistame nii pehme- kui kõvakaanelises köites raamatuid, samuti...

General info

Name

Aktsiaselts PAKETT

Registry code

10028790

VAT number

EE100052479

Type

AS - Joint Stock Company

Status

Registered

Foundation date

25.04.1996 (28)

Financial year

01.01-31.12

Capital

34 500.00 €

Activity

58191 - Other publishing activities 46901 - Non-specialised wholesale trade 68201 - Rental and operating of own or leased real estate 18141 - Binding and related services 58111 - Book publishing 18121 - Printing of books

Revenue

993 070 €

Profit

-35 919 €

Profit margin

-4%

Gross salary

1 289 €

(estimate is approximate)

Equity

77 832 €

Employees

18

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-46%

Return on assets

-13%

Related parties

Owner Representative Beneficial owner Roles

Olev-Pear Moorlat

02.03.1940 (84)

20% - 6 900.00 EUR - Direct ownership Board memberShareholder

Indrek Talgre

20.05.1964 (60)

10% - 3 450.00 EUR - - Board memberShareholder

Sven-Erik Moorlat

15.07.1968 (56)

35% - 12 075.00 EUR Board member Direct ownership Shareholder

Eneken Moorlat

07.12.1970 (53)

35% - 12 075.00 EUR - Direct ownership Chairman of the boardShareholder

Elna-Mall Moorlat

21.12.1938 (85)

- - Direct ownership

Financial info

2019
30.06.2020
2020
25.06.2021
2021
21.06.2022
2022
21.06.2023
2023
25.06.2024
Total Revenue 936 507 € 855 954 € 856 589 € 990 632 € 993 070 €
Net profit (loss) for the period -10 569 € -14 440 € -57 187 € -35 394 € -35 919 €
Profit Margin -1% -2% -7% -4% -4%
Current Assets 174 033 € 135 031 € 127 680 € 110 741 € 84 863 €
Fixed Assets 231 280 € 214 403 € 188 582 € 167 427 € 190 298 €
Total Assets 405 313 € 349 434 € 316 262 € 278 168 € 275 161 €
Current Liabilities 163 362 € 128 102 € 152 117 € 164 417 € 178 948 €
Non Current Liabilities 21 179 € 15 000 € 15 000 € 0 € 18 381 €
Total Liabilities 184 541 € 143 102 € 167 117 € - 197 329 €
Share Capital 34 512 € 34 500 € 34 500 € 34 500 € 34 500 €
Equity 220 772 € 206 332 € 149 145 € 113 751 € 77 832 €
Employees 21 21 21 18 18

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 220 778.64 € 45 306.34 € 31 295.36 € 18
2023 Q4 253 797.38 € 36 843.77 € 29 187.07 € 18
2023 Q3 210 800.4 € 42 051.8 € 37 818.02 € 18
2023 Q2 261 061.78 € 35 152 € 25 946.93 € 17
2023 Q1 264 801.97 € 44 711.42 € 35 968.13 € 18
2022 Q4 296 862.58 € 42 474.1 € 34 201.84 € 21
2022 Q3 202 647.95 € 39 551.67 € 37 334.69 € 21
2022 Q2 259 401.26 € 39 981 € 35 155.09 € 21
2022 Q1 239 634.96 € 31 101.39 € 24 100.35 € 21
2021 Q4 229 730.28 € 38 355.75 € 33 698.58 € 21
2021 Q3 188 623.86 € 25 637.61 € 24 534.72 € 21
2021 Q2 196 451.04 € 32 028.76 € 26 933.7 € 20
2021 Q1 229 362.48 € 46 734.8 € 34 737.8 € 22
2020 Q4 255 995.62 € 42 174.24 € 32 640.74 € 23
2020 Q3 182 914.8 € 31 609.97 € 28 329.33 € 23
2020 Q2 208 949.51 € 35 602.21 € 25 879.93 € 23
2020 Q1 240 090.75 € 42 729.32 € 32 033.13 € 24