Saidafarm OÜ

10048278

Company info

Saidafarm OÜ

10048278

Saidafarm OÜ - Mahefarm aastast 1992 | Mahetootmine mahepiimatootedhttps://www.saidafarm.eeSaidafarm OÜ - Mahefarm aastast 1992 | Mahetootmine mahepiimatooted

Saidafarm OÜ on mahefarm alates 1992. aastast. Meie tootevalikus on kohupiimad, juustud, jogurtid, kohupiimakreemid ja keefir.

General info

Name

Saidafarm OÜ

Registry code

10048278

VAT number

EE100439144

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

01.07.1996 (28)

Financial year

01.01-31.12

Capital

126 522.00 €

Activity

10512 - Manufacture of cheese and curd 01411 - Raising of dairy cattle 01611 - Support activities for crop production

Revenue

594 176 €

Profit

-83 635 €

Profit margin

-14%

Gross salary

750 €

(estimate is approximate)

Equity

1 001 182 €

Employees

20

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-8%

Return on assets

-7%

Related parties

Owner Representative Beneficial owner Roles

Vigita Kallu

01.08.1951 (73)

8% - 9 841.00 EUR - -

Merike Kuldsaar

14.05.1959 (65)

6% - 7 029.00 EUR - -

Juhan Särgava

15.03.1954 (70)

50% - 62 942.00 EUR Board member Direct ownership

Allan Muuk

05.09.1962 (62)

3% - 3 834.00 EUR - -

Riho Kivisild

14.12.1958 (65)

3% - 3 834.00 EUR - -

Helve Särgava

06.07.1950 (74)

19% - 24 665.00 EUR - -

Elvi Kütt

06.11.1944 (80)

11% - 13 291.00 EUR - -

Heiki Pajur

05.12.1957 (66)

1% - 1 086.00 EUR - -

Related companies

Owner Representative Beneficial owner Roles

Tulundusühistu Eesti Ühistukapital

12989447

- - - Founder

Tulundusühistu Eesti Mahe

10964986

- - - Founder

Financial info

2019
31.07.2020
2020
29.06.2021
2021
30.06.2022
2022
30.06.2023
2023
29.06.2024
Total Revenue 600 567 € 618 043 € 684 189 € 632 519 € 594 176 €
Net profit (loss) for the period 38 900 € 9 911 € 30 644 € 233 754 € -83 635 €
Profit Margin 6% 2% 4% 37% -14%
Current Assets 280 522 € 287 714 € 248 616 € 256 455 € 207 157 €
Fixed Assets 859 024 € 830 215 € 749 052 € 978 672 € 929 262 €
Total Assets 1 139 546 € 1 117 929 € 997 668 € 1 235 127 € 1 136 419 €
Current Liabilities 100 847 € 107 653 € 85 644 € 114 703 € 112 288 €
Non Current Liabilities 36 076 € 28 858 € 24 741 € 23 878 € 22 949 €
Total Liabilities 136 923 € 136 511 € 110 385 € 138 581 € 135 237 €
Share Capital - - - - -
Equity 1 002 623 € 981 418 € 887 283 € 1 096 546 € 1 001 182 €
Employees 26 24 23 22 20

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 122 523.01 € 20 014.42 € 21 799.71 € 22
2023 Q4 136 833.08 € 22 575.33 € 16 587.3 € 19
2023 Q3 159 179.85 € 25 319.44 € 18 333.87 € 20
2023 Q2 139 850.38 € 23 563.71 € 21 311.53 € 21
2023 Q1 155 456.44 € 33 702.12 € 25 538.99 € 23
2022 Q4 168 939.53 € 18 345.41 € 18 004.68 € 23
2022 Q3 182 875.75 € 26 604.93 € 22 732.01 € 20
2022 Q2 119 113.12 € 22 076.46 € 22 337.02 € 22
2022 Q1 101 597.71 € 28 141.23 € 27 203.48 € 27
2021 Q4 146 162.71 € 21 071.99 € 20 733.7 € 27
2021 Q3 154 927.7 € 54 368.94 € 25 527.72 € 25
2021 Q2 223 544.28 € 20 656.83 € 22 200.48 € 27
2021 Q1 191 995.88 € 35 621.3 € 29 131.06 € 25
2020 Q4 190 396.21 € 19 929.7 € 18 922.18 € 25
2020 Q3 176 001.72 € 27 218.34 € 23 007.42 € 23
2020 Q2 121 898.29 € 22 711.5 € 20 011.3 € 27
2020 Q1 121 759.21 € 32 925.18 € 23 325.01 € 25