Aktsiaselts KLAASMERK

10074979

Company info

Aktsiaselts KLAASMERK

10074979

Aknad, PVC aknad, lükanduksed, sisustus- ja fassaadiklaasid - Klaasmerkhttps://www.klaasmerk.eeAknad, PVC aknad, lükanduksed, sisustus- ja fassaadiklaasid - Klaasmerk

Kvaliteetsed plastikaknad, PVC aknad, liuguksed, lükanduksed ja erinevad klaasseinad. Akendele 5a garantii. Meil on 25 aastane kogemus. Pöördu meie ekspertide poole ja küsi nõu!

General info

Name

Aktsiaselts KLAASMERK

Registry code

10074979

VAT number

EE100089581

Type

AS - Joint Stock Company

Status

Registered

Foundation date

05.09.1996 (28)

Financial year

01.01-31.12

Capital

25 560.00 €

Activity

23121 - Shaping and processing of flat glass   22232 - Manufacture of plastic doors, windows, partitions, etc.

Revenue

3 769 292 €

Profit

-179 710 €

Profit margin

-5%

Gross salary

-

Equity

1 176 221 €

Employees

46

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-15%

Return on assets

-11%

Related parties

Owner Representative Beneficial owner Roles

Raul Uuspõld

29.04.1967 (57)

22% - 5 495.40 EUR Board member - Shareholder

Omanikukonto: MARGIT UUSPÕLD

05.01.1967 (57)

21% - 5 431.50 EUR - - Shareholder

Raino Kalekin

19.09.1960 (64)

14% - 3 514.50 EUR - - Chairman of the boardShareholder

Ain Kirnmann

19.11.1962 (61)

43% - 10 926.90 EUR Board member Direct ownership Shareholder

Kauko-Juhani Saarinen

22.01.1946 (78)

- - - Board member

Marek Perendi

30.04.1968 (56)

- - - Board member

Financial info

2019
06.07.2020
2020
16.06.2021
2021
08.07.2022
2022
04.07.2023
2023
21.06.2024
Total Revenue 3 742 812 € 3 271 409 € 3 837 823 € 4 649 520 € 3 769 292 €
Net profit (loss) for the period -93 134 € -56 041 € 55 954 € 264 884 € -179 710 €
Profit Margin -2% -2% 1% 6% -5%
Current Assets 949 748 € 989 358 € 1 217 108 € 1 447 719 € 1 182 532 €
Fixed Assets 445 034 € 415 238 € 332 381 € 377 269 € 442 415 €
Total Assets 1 394 782 € 1 404 596 € 1 549 489 € 1 824 988 € 1 624 947 €
Current Liabilities 246 565 € 273 904 € 375 586 € 388 302 € 297 574 €
Non Current Liabilities 57 084 € 95 599 € 82 856 € 80 755 € 151 152 €
Total Liabilities 303 649 € 369 503 € 458 442 € 469 057 € 448 726 €
Share Capital 25 560 € 25 560 € 25 560 € 25 560 € 25 560 €
Equity 1 091 133 € 1 035 093 € 1 091 047 € 1 355 931 € 1 176 221 €
Employees 48 48 49 49 46

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 651 335.77 € 114 034.48 € 96 394.69 € 44
2023 Q4 1 123 313.05 € 168 065.11 € 110 117.78 € 45
2023 Q3 1 248 240.96 € 170 982.11 € 111 034.29 € 47
2023 Q2 1 327 877.04 € 125 836.31 € 106 759.3 € 46
2023 Q1 1 038 516.25 € 151 067.39 € 106 054.88 € 47
2022 Q4 1 734 979.11 € 167 274.14 € 106 957.32 € 47
2022 Q3 1 407 109.82 € 164 226.7 € 107 888.68 € 48
2022 Q2 1 531 049.23 € 177 823.09 € 102 600.56 € 47
2022 Q1 1 116 331.52 € 140 880.59 € 105 520.02 € 48
2021 Q4 1 452 979.99 € 132 654.88 € 101 577.44 € 49
2021 Q3 1 209 101.88 € 160 566.54 € 98 769.73 € 50
2021 Q2 1 169 689.65 € 138 487.65 € 92 203.34 € 48
2021 Q1 731 563.4 € 111 470.6 € 93 458.71 € 50
2020 Q4 1 197 607.12 € 153 644.65 € 96 079.99 € 51
2020 Q3 1 040 422.69 € 125 193.51 € 80 537.89 € 51
2020 Q2 941 272.16 € 109 133.92 € 77 433.43 € 51
2020 Q1 899 400.78 € 135 134.43 € 96 925.26 € 51