aktsiaselts RAIT

10152828

Company info

aktsiaselts RAIT

10152828

Puitmaterjal - okaspuidust puitmaterjali müük | RAITWOODhttps://www.raitwood.eePuitmaterjal - okaspuidust puitmaterjali müük | RAITWOOD

Põhjamaisest okaspuidust puitmaterjali müük. Kvaliteetne sertifikaatidega puitmaterjal ehitamiseks. Puidupoed Tallinnas ja Tartus. Vali õige puit ehitusele!

General info

Name

aktsiaselts RAIT

Registry code

10152828

VAT number

EE100014860

Type

AS - Joint Stock Company

Status

Registered

Foundation date

14.05.1997 (27)

Financial year

01.01-31.12

Capital

1 110 200.00 €

Activity

4673 - Wholesale of wood, construction materials and sanitary equipment 1610 - Sawmilling and planing of wood 16291 - Manufacture of wooden articles and ornaments 70101 - Activities of head offices 16109 - Manufacture of other wood treatment articles, inc chips, particles, wood wool etc

Revenue

58 940 941 €

Profit

3 437 318 €

Profit margin

6%

Gross salary

2 723 €

(estimate is approximate)

Equity

26 534 693 €

Employees

147

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

13%

Return on assets

11%

Related parties

Owner Representative Beneficial owner Roles

OÜ Raitwood Kapital

10666792

98% - 1 088 000.00 EUR - - Shareholder

Omanikukonto: IVAR DEMBOVSKI

23.09.1965 (59)

- Board member Direct ownership

Kaupo Kraus

05.10.1971 (53)

- Board member -

Omanikukonto: Marek Hirs

21.06.1986 (38)

- Board member -

Rainar Laes

30.11.1982 (42)

- Board member -

Tõnu Tsernant

02.10.1969 (55)

- - Direct ownership Board member

Kuldar Veere

09.12.1972 (51)

- - Indirect ownership Chairman of the board

Anneli Parisalu-Dembovski

01.07.1963 (61)

- - - Board member

Related companies

Owner Representative Beneficial owner Roles

aktsiaselts Viiratsi Saeveski

10868739

- - - Founder

Financial info

2019
02.11.2020
2020
28.06.2021
2021
30.06.2022
2022
30.06.2023
2023
30.06.2024
Total Revenue 42 564 402 € 47 281 926 € 77 534 168 € 76 305 627 € 58 940 941 €
Net profit (loss) for the period 1 535 232 € 2 331 596 € 8 708 634 € 5 254 580 € 3 437 318 €
Profit Margin 4% 5% 11% 7% 6%
Current Assets 11 889 127 € 15 175 013 € 22 709 961 € 23 846 804 € 17 721 566 €
Fixed Assets 14 582 350 € 13 759 051 € 14 515 935 € 15 210 512 € 13 881 720 €
Total Assets 26 471 477 € 28 934 064 € 37 225 896 € 39 057 316 € 31 603 286 €
Current Liabilities 3 978 244 € 5 798 961 € 7 663 936 € 13 853 831 € 4 987 245 €
Non Current Liabilities 10 095 261 € 9 005 043 € 7 722 447 € 107 752 € 81 348 €
Total Liabilities 14 073 505 € 14 804 004 € 15 386 383 € 13 961 583 € 5 068 593 €
Share Capital 1 110 200 € 1 110 200 € 1 110 200 € 1 110 200 € 1 110 200 €
Equity 12 397 972 € 14 130 060 € 21 839 513 € 25 095 733 € 26 534 693 €
Employees 148 145 153 148 147

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 17 012 752.74 € 381 127.84 € 736 645.3 € 150
2023 Q4 21 215 842.03 € 936 702.46 € 588 899.56 € 148
2023 Q3 20 970 229.72 € 1 502 585.59 € 631 804.46 € 145
2023 Q2 22 704 946.67 € 1 207 262.61 € 725 574.45 € 149
2023 Q1 18 600 212.38 € 637 413.45 € 675 424.72 € 150
2022 Q4 20 458 124.23 € 1 723 388.37 € 510 894.87 € 145
2022 Q3 23 098 412.58 € 1 673 789.2 € 636 108.55 € 146
2022 Q2 35 780 552.99 € 839 237.21 € 843 718.66 € 157
2022 Q1 21 168 899.08 € - 704 931.53 € 158
2021 Q4 26 098 221.18 € 761 161.42 € 583 203.31 € 154
2021 Q3 26 636 821.59 € - 791 326.29 € 159
2021 Q2 25 124 369.4 € 212 963.28 € 536 575.86 € 166
2021 Q1 14 638 231.09 € 53 919.31 € 518 331.19 € 160
2020 Q4 16 016 441.56 € 96 402.49 € 436 489.02 € 159
2020 Q3 14 028 439.48 € 506 746.08 € 506 937.18 € 151
2020 Q2 14 008 571.81 € 78 243.93 € 418 201.02 € 155
2020 Q1 11 313 991.03 € 14 430.6 € 432 965.89 € 155