aktsiaselts Gasell

10068988

Company info

aktsiaselts Gasell

10068988

GASELL AS hulgimüük | Moodsad aksessuaarid, käekotid ja kohvridhttps://www.gasell.eeGASELL AS hulgimüük | Moodsad aksessuaarid, käekotid ja kohvrid

GASELL AS hulgimüük – kotid, kohvrid, rahakotid, koolikotid, spordikotid, reisikotid. Gasell on moodne, kiire ja sõbralik. Meie kaubamärgid: Gianna, Beaute, Poem, Charters, Baggage, The Bag, Code, Delsey, Rainflower, Doppler, David Jones, Gussaci, Daniel-Ray, Enrico Benetti, Confidence, Elsa Walls, Pearl.

General info

Name

aktsiaselts Gasell

Registry code

10068988

VAT number

EE100106930

Type

AS - Joint Stock Company

Status

Registered

Foundation date

30.09.1996 (28)

Financial year

01.01-31.12

Capital

25 218.00 €

Activity

6820 - Rental and operating of own or leased real estate 46421 - Wholesale of clothing and clothing accessories 47721 - Retail sale of footwear and leather goods in specialised stores

Revenue

561 437 €

Profit

23 968 €

Profit margin

4%

Gross salary

1 075 €

(estimate is approximate)

Equity

3 258 647 €

Employees

6

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

1%

Return on assets

1%

Related parties

Owner Representative Beneficial owner Roles

Urmas Liiv

12.07.1969 (55)

100% - 25 218.00 EUR Board member (chairman) More than 50% ownership in the consolidated entity's voting rights Shareholder

Oliver Liiv

25.09.1995 (29)

- Board member -

Maret Vetemaa

03.06.1968 (56)

- - - Board member

Jüri Schmuul

25.06.1969 (55)

- - - Board member

Mare Vetemaa

22.12.1973 (50)

- - - Board member

Financial info

2019
29.06.2020
2020
17.06.2021
2021
09.06.2022
2022
19.06.2023
2023
06.06.2024
Total Revenue 833 202 € 381 592 € 385 043 € 546 794 € 561 437 €
Net profit (loss) for the period 89 171 € 172 568 € 934 180 € 646 347 € 23 968 €
Profit Margin 11% 45% 243% 118% 4%
Current Assets 1 319 936 € 1 352 533 € 1 707 975 € 2 638 640 € 2 329 615 €
Fixed Assets 1 080 051 € 873 321 € 1 376 076 € 977 967 € 1 021 969 €
Total Assets 2 399 987 € 2 225 854 € 3 084 051 € 3 616 607 € 3 351 584 €
Current Liabilities 86 331 € 69 647 € 95 719 € 81 928 € 92 937 €
Non Current Liabilities - - - - -
Total Liabilities - - - - -
Share Capital 26 862 € 26 862 € 25 218 € 25 218 € 25 218 €
Equity 2 313 656 € 2 156 207 € 2 988 332 € 3 534 679 € 3 258 647 €
Employees 17 11 8 7 6

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 94 655.39 € 76 395.98 € 10 984.89 € 6
2023 Q4 153 023.48 € 65 316.37 € 17 554.83 € 6
2023 Q3 160 681.26 € 38 488.16 € 9 701.22 € 7
2023 Q2 156 961.71 € 28 748.93 € 8 596.98 € 7
2023 Q1 86 386.54 € 37 509.12 € 9 107.84 € 6
2022 Q4 146 365.52 € 51 836.71 € 10 219.32 € 7
2022 Q3 208 727.26 € 65 950.88 € 17 064.95 € 7
2022 Q2 1 079 946.6 € 231 784.78 € 10 966.57 € 7
2022 Q1 75 085.78 € 17 963.81 € 9 559.15 € 8
2021 Q4 1 453 260.15 € 29 842.9 € 10 878.91 € 9
2021 Q3 163 079.18 € 56 073.25 € 17 463.73 € 11
2021 Q2 54 318.41 € 15 171.22 € 5 988.79 € 11
2021 Q1 55 499.77 € 30 607.07 € 11 235 € 11
2020 Q4 29 519.48 € 42 222.37 € 10 481.7 € 11
2020 Q3 208 783.95 € 64 879.02 € 12 401.46 € 11
2020 Q2 31 627.82 € 21 620.57 € 10 784.93 € 14
2020 Q1 138 015.76 € 55 232.14 € 16 105.66 € 14