Osaühing EPP

10053090

Company info

Osaühing EPP

10053090

Avaleht  | EPP OÜhttps://www.epp.eeAvaleht | EPP OÜ

EPP OÜ on ekspert kooli- ja kontorikaupade, kunstitarvete, kodu- ja majapidamisvahendite, kinkepakendite ning ilu- ja tervisetoodete vallas. Epp OÜ esindab tuntud ja armastatud kaubamärke nagu Scudotex ja Scudovaris tugisukad, -pesu ja meditsiinitarvikud Itaaliast. Eestis oleme maaletoojad ning esindame Hispaaniast pärit KIN, mida soovitavad maailmas juhtivad hambaarstid ja Kreekast pärit Frezyderm apteegikosmeetika sarja. Kunsti- ja meisterdamishuviliste lennukaid ideid on mõnus teostada värvide, pintslite ja voolimisvahenditega kasutajasõbralikelt kaubamärkidelt JOVI, Carioca, Artline, KOH-I-NOOR jt. PPKARTON`i ja Interdruki kooli- ja kontoritarvikud on praktilised igale töölauale. NOVARICO sisevalgustusega gloobused kustutavad nii teadmistejanu kui pakuvad silmailu efektse disainielemendina.

General info

Name

Osaühing EPP

Registry code

10053090

VAT number

EE100206238

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

26.07.1996 (28)

Financial year

01.01-31.12

Capital

2 500.00 €

Activity

46491 - Wholesale of stationery, books, magazines and newspapers 46499 - Wholesale of household goods, n.e.c. 46442 - Wholesale of cleaning materials

Revenue

1 832 215 €

Profit

94 893 €

Profit margin

5%

Gross salary

1 986 €

(estimate is approximate)

Equity

793 878 €

Employees

12

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

12%

Return on assets

9%

Related parties

Owner Representative Beneficial owner Roles

Osaühing Erica

10657853

100% - 2 500.00 EUR - -

Erika Krjutškova

24.06.1956 (68)

- Board member Indirect ownership

Pjotr Krjutskov

11.01.1956 (68)

- Board member Indirect ownership

Financial info

2019
30.09.2020
2020
12.07.2021
2021
17.06.2022
2022
27.06.2023
2023
27.05.2024
Total Revenue 1 576 832 € 1 437 428 € 1 562 402 € 1 837 465 € 1 832 215 €
Net profit (loss) for the period -14 709 € 70 427 € 61 936 € 159 291 € 94 893 €
Profit Margin -1% 5% 4% 9% 5%
Current Assets 812 227 € 729 832 € 764 270 € 868 595 € 919 155 €
Fixed Assets 90 906 € 128 794 € 117 054 € 89 730 € 82 221 €
Total Assets 903 133 € 858 626 € 881 324 € 958 325 € 1 001 376 €
Current Liabilities 453 401 € 364 468 € 337 030 € 259 340 € 207 498 €
Non Current Liabilities 42 401 € 16 400 € 4 600 € 0 € 0 €
Total Liabilities 495 802 € 380 868 € 341 630 € - -
Share Capital - - - - -
Equity 407 331 € 477 758 € 539 694 € 698 985 € 793 878 €
Employees 14 13 13 12 12

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 420 577.92 € 82 893.12 € 46 261.25 € 13
2023 Q4 714 289.48 € 102 308.02 € 36 955.63 € 13
2023 Q3 1 068 742.64 € 138 266.68 € 34 330.27 € 11
2023 Q2 526 328.15 € 64 431.47 € 31 362.18 € 12
2023 Q1 570 074.12 € 85 571.28 € 43 110.02 € 12
2022 Q4 754 455.85 € 94 097.19 € 30 663.79 € 12
2022 Q3 965 872.47 € 131 982.9 € 32 350.71 € 12
2022 Q2 641 299.77 € 67 982.56 € 30 420.33 € 13
2022 Q1 502 735.85 € 76 811.8 € 30 922.78 € 12
2021 Q4 602 532.22 € 89 442.42 € 40 419.69 € 14
2021 Q3 932 616.95 € 111 599.16 € 28 687.14 € 16
2021 Q2 464 096.56 € 60 982.67 € 23 383.57 € 15
2021 Q1 396 108.91 € 60 387.73 € 26 645.54 € 13
2020 Q4 654 790.81 € 81 166.03 € 24 246.63 € 14
2020 Q3 771 772.58 € 92 619.35 € 22 292.13 € 10
2020 Q2 340 630.62 € 23 771.83 € 10 474.97 € 14
2020 Q1 510 011.29 € 73 793.83 € 34 257.73 € 15