Aktsiaselts KONESKO

10047497

Company info

Aktsiaselts KONESKO

10047497

Esileht - Koneskohttps://www.konesko.eeEsileht - Konesko

AS Konesko Konesko AS on Eestis tegutsev elektrimootorite, elektrikomponentide ja suurekabariidiliste metallkonstruktsioonide tootja. Koneskol on neli tehast, mis kõik asuvad Eestimaa südames - Koerus, Põltsamaal ja Türi-Allikul. Meist https://www.youtube.com/watch?v=kXkc91QIr9A&t=2s Tootmine Ettevõtte tootmistegevuse võib jagada kolmeks:Elektrimootorite valmistamineElektrikomponentide tootmineSuuregabariidiliste metallkonstruktsioonide tootmine Tehased Koeru tehas +372 38 38165 Paide tee 26, Koeru alevik, Järva vald, 73001 Järva maakond

General info

Name

Aktsiaselts KONESKO

Registry code

10047497

VAT number

EE100047840

Type

AS - Joint Stock Company

Status

Registered

Foundation date

20.06.1996 (28)

Financial year

01.01-31.12

Capital

2 540 000.00 €

Activity

27111 - Manufacture of electric motors, generators and transformers 27331 - Manufacture of wiring devices   28221 - Manufacture of lifting and handling equipment

Revenue

95 086 958 €

Profit

7 553 818 €

Profit margin

8%

Gross salary

1 626 €

(estimate is approximate)

Equity

29 797 742 €

Employees

382

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

25%

Return on assets

17%

Related parties

Owner Representative Beneficial owner Roles

Mart-Järvo Hirtentreu

05.02.1964 (60)

46% - 1 168 590.50 EUR Board member Direct ownership Shareholder

Tauno Suitsberg

18.06.1974 (50)

- Board member -

Allari Leppik

12.12.1966 (57)

- - - Board member

Andres Männiko

02.06.1969 (55)

- - - Board member

Related companies

Owner Representative Beneficial owner Roles

osaühing Konesko Autotarvik

10524098

50% - 4 793.00 EUR - - Founder

Financial info

2019
28.05.2020
2020
07.04.2021
2021
12.04.2022
2022
19.04.2023
2023
07.05.2024
Total Revenue 73 139 616 € 64 473 983 € 74 474 817 € 86 559 177 € 95 086 958 €
Net profit (loss) for the period 2 477 547 € 2 143 100 € 2 638 914 € 3 028 322 € 7 553 818 €
Profit Margin 3% 3% 4% 3% 8%
Current Assets 21 201 287 € 18 822 147 € 24 277 237 € 26 243 507 € 31 181 227 €
Fixed Assets 12 993 527 € 14 046 656 € 12 721 826 € 12 472 790 € 12 207 484 €
Total Assets 34 194 814 € 32 868 803 € 36 999 063 € 38 716 297 € 43 388 711 €
Current Liabilities 8 159 190 € 8 170 376 € 11 847 808 € 12 870 421 € 12 707 356 €
Non Current Liabilities 5 642 036 € 3 391 739 € 2 435 653 € 1 601 952 € 883 613 €
Total Liabilities 13 801 226 € 11 562 115 € 14 283 461 € 14 472 373 € 13 590 969 €
Share Capital 2 540 000 € 2 540 000 € 2 540 000 € 2 540 000 € 2 540 000 €
Equity 20 393 588 € 21 306 688 € 22 715 602 € 24 243 924 € 29 797 742 €
Employees 393 374 391 382 382

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 32 528 480.11 € 1 069 006.53 € 986 310.08 € 391
2023 Q4 33 938 432.53 € 860 077.67 € 950 837.29 € 388
2023 Q3 36 288 769.24 € 917 403.79 € 971 227.18 € 391
2023 Q2 35 470 520.64 € 1 611 471.86 € 919 025.48 € 400
2023 Q1 31 475 404.07 € 750 225.61 € 929 067.63 € 392
2022 Q4 35 161 914.14 € 935 644.63 € 862 729.27 € 400
2022 Q3 32 563 130.68 € 889 409.88 € 888 305.09 € 399
2022 Q2 32 539 271.57 € 945 226.59 € 828 356.07 € 406
2022 Q1 28 666 022.4 € 850 361.68 € 806 530.16 € 384
2021 Q4 31 232 726.33 € 947 439.43 € 755 559.11 € 399
2021 Q3 29 385 592.12 € 833 495.91 € 814 214.26 € 394
2021 Q2 28 224 882.81 € 983 805.12 € 765 449.28 € 402
2021 Q1 22 327 420.18 € 843 023.41 € 692 416.5 € 378
2020 Q4 22 101 811.17 € 743 956.73 € 656 354.45 € 367
2020 Q3 21 669 175.91 € 711 685.85 € 729 053.93 € 368
2020 Q2 25 341 206.22 € 1 059 455.3 € 774 840.75 € 385
2020 Q1 24 348 234.76 € 631 624.52 € 767 690.56 € 416