Svensky Kaubanduse Aktsiaselts

10069530

Company info

Svensky Kaubanduse Aktsiaselts

10069530

Pikk kogemus. Lühike tarneaeg ja parimad tooted - Svenskyhttp://www.svensky.eePikk kogemus. Lühike tarneaeg ja parimad tooted - Svensky

Oleme kaupasid edukalt Eestisse toonud juba üle 25 aasta ning selle aja jooksul loonud efektiivse tarneahela. Koostöö meiega tähendab Sulle professionaalset lähenemist ja puhast ajavõitu. Sinu ettevõttele aga püsiva kasumi teenimist.

General info

Name

Svensky Kaubanduse Aktsiaselts

Registry code

10069530

VAT number

EE100061813

Type

AS - Joint Stock Company

Status

Registered

Foundation date

30.09.1996 (28)

Financial year

01.01-31.12

Capital

146 970.00 €

Activity

46499 - Wholesale of household goods, n.e.c. 46391 - Non-specialised wholesale of food, beverages and tobacco

Revenue

22 193 385 €

Profit

1 036 921 €

Profit margin

5%

Gross salary

-

Equity

5 154 081 €

Employees

82

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

20%

Return on assets

10%

Related parties

Owner Representative Beneficial owner Roles

OÜ Stefan Invest

11729454

11% - 16 550.10 EUR - - Shareholder

OÜ Sofia Invest

12353181

10% - 14 697.00 EUR - - Shareholder

Omanikukonto: Sven Voites

21.02.1966 (58)

74% - 108 310.50 EUR Board member Direct ownership Shareholder

Ethel Voites

18.11.1985 (39)

- - - Board member

Irina Voites

11.02.1979 (45)

- - - Board member

Matti Karja

14.12.1969 (54)

- - - Chairman of the board

Related companies

Owner Representative Beneficial owner Roles

OÜ Metsage

12029138

25% - 625.00 EUR - -

Prego Apartments OÜ

14002474

100% - 350 000.00 EUR - - Founder

aktsiaselts MARMITON

10101179

100% - 204 992.00 EUR - - Shareholder

Financial info

2019
01.07.2020
2020
14.05.2021
2021
28.05.2022
2022
30.05.2023
2023
10.05.2024
Total Revenue 17 809 268 € 14 823 844 € 16 385 908 € 18 732 544 € 22 193 385 €
Net profit (loss) for the period 207 355 € 443 861 € 374 635 € 733 869 € 1 036 921 €
Profit Margin 1% 3% 2% 4% 5%
Current Assets 3 614 567 € 3 892 818 € 4 386 052 € 4 835 103 € 5 146 395 €
Fixed Assets 4 971 242 € 4 335 252 € 4 210 088 € 4 142 715 € 5 215 677 €
Total Assets 8 585 809 € 8 228 070 € 8 596 140 € 8 977 818 € 10 362 072 €
Current Liabilities 5 098 198 € 3 120 468 € 3 327 731 € 3 340 370 € 3 853 499 €
Non Current Liabilities 339 296 € 1 515 426 € 1 501 598 € 1 270 288 € 1 354 492 €
Total Liabilities 5 437 494 € 4 635 894 € 4 829 329 € 4 610 658 € 5 207 991 €
Share Capital 146 970 € 146 970 € 146 970 € 146 970 € 146 970 €
Equity 3 148 315 € 3 592 176 € 3 766 811 € 4 367 160 € 5 154 081 €
Employees 96 97 97 88 82

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 8 560 541.92 € 666 098.78 € 214 599.46 € 38
2023 Q4 9 354 212.21 € 661 140.8 € 166 391.41 € 40
2023 Q3 8 891 564.78 € 666 251.76 € 170 477.82 € 39
2023 Q2 8 030 336.98 € 647 444.47 € 165 559.54 € 38
2023 Q1 7 508 031.96 € 597 915.2 € 170 300.09 € 39
2022 Q4 7 530 338.93 € 573 432.73 € 138 892.41 € 42
2022 Q3 6 865 988.38 € 529 353.14 € 139 760.93 € 43
2022 Q2 7 345 437.22 € 544 042.93 € 133 816.75 € 40
2022 Q1 6 418 918.44 € 548 513.43 € 147 909.73 € 39
2021 Q4 6 785 693.44 € 514 374.93 € 124 295.25 € 40
2021 Q3 6 090 958.8 € 542 799.95 € 124 888.85 € 39
2021 Q2 5 655 306.54 € 494 001.98 € 115 323.95 € 41
2021 Q1 5 402 341.82 € 481 746.82 € 129 977.34 € 39
2020 Q4 6 285 472.99 € 732 500.17 € 149 144.91 € 38
2020 Q3 5 106 736.48 € 522 464.7 € 125 357.35 € 40
2020 Q2 5 192 099.42 € 406 383.42 € 71 212.2 € 39
2020 Q1 5 420 656.59 € 400 839.16 € 119 926.56 € 40