Osaühing SF Pandivere

10127457

Company info

Osaühing SF Pandivere

10127457

Avaleht » Rotaks - E-poodhttps://rotaks.eeAvaleht » Rotaks - E-pood

Vabandame Ladu Pikk tn 30 Väike-Maarja on suletud 21.11 ja 22.11 ROTAKSLemmikloomTOOTEDLEMMIKULEROTAKSAgriTOOTEDFARMERILEKIIRE TARNETarne Eesti piires 3 - 4 päeva RAHA TAGASI GARANTIITagasta toode 14 päeva jooksu KIIRE KLIENDITUGIHelista +372 52 96 792 TURVALINE OSTUKOHTKrüpteeritud andmeside Populaarsed tootedTooted, mis oma naturaalsuse, maitse ja mitmekülgsusega on võitnud paljude südamed.Sort ByFarmerileLemmikloomaleMuud tooted Lisa korviKIIRVAADE Lemmikloomale, Toidulisandid Eminent Collagen

General info

Name

Osaühing SF Pandivere

Registry code

10127457

VAT number

EE100461989

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

25.09.1996 (28)

Financial year

01.01-31.12

Capital

117 821.00 €

Activity

01461 - Raising of swine/pigs 01621 - Support activities for animal production 47762 - Retail sale of pet animals and birds, their food and goods in specialised stores 47111 - Retail sale in non-specialised stores with food, beverages or tobacco predominating

Revenue

-

Profit

-

Profit margin

-

Gross salary

-

Equity

-

Employees

-

Annual report

Not submitted

Tax arrears

No tax arrears

Return on equity

-

Return on assets

-

Related parties

Owner Representative Beneficial owner Roles

Aare Kalson

16.05.1958 (66)

100% - 117 821.00 EUR Board member Direct ownership

Tanel Kalson

16.10.1983 (41)

- Board member -

Related companies

Owner Representative Beneficial owner Roles

Osaühing Pandivere Veis

10895653

33% - 14 000.00 EEK - -

Jampo Seakasvatuse OÜ

10085061

100% - 10 240.00 EUR - -

Financial info

2019
15.05.2020
2020
14.04.2021
2021
03.06.2022
2022
06.03.2023
Total Revenue 4 972 721 € 5 054 689 € 4 904 725 € 5 508 678 €
Net profit (loss) for the period 274 729 € 461 650 € 315 520 € 143 315 €
Profit Margin 6% 9% 6% 3%
Current Assets 1 238 888 € 1 633 952 € 1 422 139 € 927 641 €
Fixed Assets 2 530 330 € 2 836 871 € 3 466 664 € 3 625 756 €
Total Assets 3 769 218 € 4 470 823 € 4 888 803 € 4 553 397 €
Current Liabilities 491 252 € 568 527 € 681 576 € 601 756 €
Non Current Liabilities 68 651 € 57 795 € 47 206 € 87 185 €
Total Liabilities 559 903 € 626 322 € 728 782 € 688 941 €
Share Capital - - - -
Equity 3 209 315 € 3 844 501 € 4 160 021 € 3 864 456 €
Employees 58 80 86 45

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 104 517.18 € 18 434.41 € 8 172.96 € 4
2023 Q4 100 692.72 € 16 262.81 € 7 648.23 € 6
2023 Q3 89 615.14 € 9 893.09 € 4 541.92 € 4
2023 Q2 95 629.5 € 13 948.16 € 8 260.63 € 3
2023 Q1 505 895.08 € 77 674.17 € 42 247.26 € 5
2022 Q4 1 313 908.65 € 202 744.6 € 109 968.13 € 29
2022 Q3 1 349 133.92 € 173 847.27 € 141 585.17 € 84
2022 Q2 1 564 504.61 € 204 407.58 € 134 551.21 € 88
2022 Q1 1 380 635.97 € 167 168.01 € 140 046.07 € 92
2021 Q4 1 401 623.45 € 172 566.96 € 132 577.44 € 91
2021 Q3 1 366 746.8 € 156 559.85 € 130 313.1 € 85
2021 Q2 1 419 256.67 € 168 627.83 € 112 684.73 € 87
2021 Q1 1 338 264.07 € 170 658.99 € 111 356.07 € 82
2020 Q4 1 466 526.13 € 160 742.4 € 100 917.19 € 85
2020 Q3 1 417 351.15 € 165 584.77 € 102 773.46 € 81
2020 Q2 1 427 589.46 € 152 578.51 € 85 184.87 € 80
2020 Q1 1 409 732.09 € 189 010.36 € 88 359.34 € 73