AS Hiiu Kalur

10031183

Company info

AS Hiiu Kalur

10031183

Avaleht - Hiiu Kalurhttps://hiiukalur.eeAvaleht - Hiiu Kalur

AS Hiiu Kalur on Eesti suurimaid kalandusfirmasid, kelle põhitegevusala on traalpüük Läänemerel.... Sadama 15, 92412 Kärdla, Hiiu County, Estonia.

General info

Name

AS Hiiu Kalur

Registry code

10031183

VAT number

EE100453625

Type

AS - Joint Stock Company

Status

Registered

Foundation date

17.05.1996 (28)

Financial year

01.01-31.12

Capital

797 300.70 €

Activity

33151 - Repair and maintenance of ships and boats 03111 - Marine fishing

Revenue

-

Profit

-

Profit margin

-

Gross salary

-

Equity

-

Employees

-

Annual report

Not submitted

Tax arrears

No tax arrears

Return on equity

-

Return on assets

-

Related parties

Owner Representative Beneficial owner Roles

Aktsiaselts Direct Consulting

10575472

84% - 665 805.70 EUR - - Shareholder

Tanel Esta

16.09.1977 (47)

- Board member -

Urmas Reimann

21.09.1974 (50)

- Board member -

Tiit Kõuhkna

08.07.1942 (82)

- - Indirect ownership Board member

Toomas Kõuhkna

28.10.1968 (56)

- - Indirect ownership Chairman of the board

Tõnu Kõuhkna

19.02.1980 (44)

- - - Board member

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Owner Representative Beneficial owner Roles

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35% - 875.00 EUR - -

OÜ Traaler

12938602

33% - 850.00 EUR - - Founder

Aktsiaselts Kajax Fishexport

10052883

40% - 276 048.00 EUR - - Shareholder

Osaühing REDSTORM

11228060

50% - 2 010.00 EUR - -

Aktsiaselts Krapesk

10220808

40% - 17 892.00 EUR - - Shareholder

Aktsiaselts Läätsa Kalatööstus

10448569

50% - 174 400.00 EUR - - Shareholder

Energy Port OÜ

14785192

50% - 1 250.00 EUR - -

Osaühing Soome Kala

12261319

50% - 1 250.00 EUR - -

KALURITEPÄEV MTÜ

80545216

- - - Founder (without contribution)

Eesti Kalapüügiühistu

11178468

- - - Founder

Eesti Kalapüügilaevade Omanike ja Reederite Liit

80168736

- - - Founder

Financial info

2019
13.10.2020
2020
20.06.2021
2021
08.07.2022
2022
05.07.2023
Total Revenue 3 032 363 € 3 367 137 € 3 210 973 € 3 783 795 €
Net profit (loss) for the period -140 996 € 712 876 € 1 052 007 € 823 694 €
Profit Margin -5% 21% 33% 22%
Current Assets 1 746 369 € 2 264 234 € 1 977 978 € 2 422 450 €
Fixed Assets 11 785 016 € 13 105 012 € 12 697 499 € 12 391 439 €
Total Assets 13 531 385 € 15 369 246 € 14 675 477 € 14 813 889 €
Current Liabilities 931 412 € 1 117 077 € 683 000 € 602 564 €
Non Current Liabilities 4 654 388 € 5 593 708 € 4 282 009 € 3 677 163 €
Total Liabilities 5 585 800 € 6 710 785 € 4 965 009 € 4 279 727 €
Share Capital 797 301 € 797 301 € 797 301 € 797 301 €
Equity 7 945 585 € 8 658 461 € 9 710 468 € 10 534 162 €
Employees 50 47 34 37

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 3 223 860.36 € 869 114.37 € 242 225.56 € 39
2023 Q4 2 779 004.42 € 643 300.97 € 146 737.54 € 38
2023 Q3 66 856.8 € 101 119.22 € 107 444.75 € 39
2023 Q2 1 110 067.65 € 381 753.89 € 207 073.39 € 38
2023 Q1 1 577 512.44 € 456 700.58 € 193 381.44 € 38
2022 Q4 1 943 447.56 € 469 940.27 € 156 460.26 € 38
2022 Q3 55 025.63 € 86 124.93 € 91 644.35 € 38
2022 Q2 685 586.76 € 254 614.09 € 169 756.34 € 36
2022 Q1 1 443 682.75 € 402 557.22 € 178 359.89 € 37
2021 Q4 1 113 965.85 € 283 091.25 € 108 684.42 € 37
2021 Q3 15 479.01 € 90 012.95 € 95 788.93 € 32
2021 Q2 601 342.43 € 251 766.87 € 167 930.6 € 36
2021 Q1 1 497 688.75 € 425 845.83 € 195 128.28 € 41
2020 Q4 2 252 227.87 € 299 700.5 € 189 686.15 € 43
2020 Q3 99 931.38 € 81 050.36 € 86 131.41 € 47
2020 Q2 572 709.7 € 195 913.95 € 127 897.78 € 47
2020 Q1 546 888.04 € 223 504.22 € 157 833.4 € 49