PÕLDMA KAUBANDUSE AKTSIASELTS

10103586

Company info

PÕLDMA KAUBANDUSE AKTSIASELTS

10103586

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Tasuta transport alates 69€. Tarne 1-5 tööpäeva. 14-päevane tagastusõigus. Riided ja jalanõud mitmekülgse brändivalikuga: Guess, Tommy Hilfiger, Calvin Klein jpt. Tutvu laia tootevalikuga!

General info

Name

PÕLDMA KAUBANDUSE AKTSIASELTS

Registry code

10103586

VAT number

EE100212947

Type

AS - Joint Stock Company

Status

Registered

Foundation date

02.12.1996 (27)

Financial year

01.01-31.12

Capital

450 000.00 €

Activity

47191 - Other retail sale in non-specialised stores 46161 - Agents involved in the sale of textiles, clothing, fur, footwear and leather goods

Revenue

64 477 925 €

Profit

2 037 331 €

Profit margin

3%

Gross salary

1 465 €

(estimate is approximate)

Equity

36 375 477 €

Employees

566

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

6%

Return on assets

5%

Related parties

Owner Representative Beneficial owner Roles

Heinar Põldma

21.01.1961 (63)

100% - 450 000.00 EEK Board member More than 50% ownership in the consolidated entity's voting rights Shareholder

Martin Põldma

27.03.1989 (35)

- - Member of a higher management body, i.e. board member or supervisory board member Board member

Rene Põldma

15.10.1986 (38)

- - Member of a higher management body, i.e. board member or supervisory board member Board member

Maile Põldma

31.10.1964 (60)

- - Member of a higher management body, i.e. board member or supervisory board member Chairman of the board

Marko Põldma

08.05.2002 (22)

- - - Board member

Related companies

Owner Representative Beneficial owner Roles

Rannaroosi Aiand OÜ

11560280

100% - 40 000.00 EUR - -

Financial info

2019
05.11.2020
2020
08.07.2021
2021
30.06.2022
2022
30.06.2023
2023
28.06.2024
Total Revenue 58 584 171 € 49 622 715 € 56 632 348 € 62 722 369 € 64 477 925 €
Net profit (loss) for the period 3 292 278 € 1 516 773 € 3 866 702 € 3 031 345 € 2 037 331 €
Profit Margin 6% 3% 7% 5% 3%
Current Assets 24 341 667 € 26 347 543 € 30 858 764 € 33 277 336 € 29 549 267 €
Fixed Assets 8 659 683 € 8 307 391 € 7 634 855 € 6 769 302 € 12 924 608 €
Total Assets 33 001 350 € 34 654 934 € 38 493 619 € 40 046 638 € 42 473 875 €
Current Liabilities 5 336 984 € 5 729 439 € 6 313 412 € 6 328 296 € 6 088 398 €
Non Current Liabilities - 366 202 € 0 € 10 000 € 10 000 €
Total Liabilities - 6 095 641 € - 6 338 296 € 6 098 398 €
Share Capital 28 760 € 28 760 € 28 760 € 28 760 € 28 760 €
Equity 27 664 366 € 28 559 293 € 32 180 207 € 33 718 342 € 36 375 477 €
Employees 580 594 558 584 566

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 19 846 664.69 € 1 885 823.09 € 770 634.88 € 311
2023 Q4 22 662 797.57 € 1 795 554.33 € 743 464.37 € 319
2023 Q3 22 487 538.52 € 1 937 210.86 € 870 183.67 € 317
2023 Q2 19 439 895.19 € 1 764 091.32 € 777 130.99 € 394
2023 Q1 25 079 165.05 € 2 323 363 € 837 486.82 € 360
2022 Q4 28 103 005.51 € 2 303 795.12 € 782 689.28 € 366
2022 Q3 22 914 637.32 € 2 467 067.59 € 865 617.02 € 360
2022 Q2 23 574 519.25 € 2 119 022.2 € 732 657.77 € 404
2022 Q1 20 698 998.95 € 2 035 546.45 € 746 546.11 € 361
2021 Q4 22 546 457.31 € 2 391 505.29 € 713 908.55 € 366
2021 Q3 23 080 045.79 € 2 645 639.62 € 878 766.16 € 369
2021 Q2 15 130 611.83 € 1 247 616.06 € 365 366.67 € 376
2021 Q1 19 422 971.33 € 1 918 636.04 € 716 236.06 € 336
2020 Q4 20 832 023.01 € 1 924 571.21 € 695 222.82 € 355
2020 Q3 19 776 475.79 € 2 053 378.41 € 500 557.16 € 375
2020 Q2 8 414 504.64 € 458 197.52 € 34 597.23 € 383
2020 Q1 21 785 317.2 € 1 660 895.57 € 706 067.62 € 370