Heidelberg Materials Kunda AS

10156772

Company info

Heidelberg Materials Kunda AS

10156772

Tere tulemast Kunda Nordic Tsemendi kodulehele!https://www.kunda.heidelbergmaterials.eeTere tulemast Kunda Nordic Tsemendi kodulehele!

AS Kunda Nordic Tsement on 151aastase ajalooga ettevõte, mis kuulub praegu rahvusvahelise kontserni HeidelbergCement Group koosseisu, kus töötab ligikaudu 59 000 inimest 60 erinevas riigis. Kunda Nordic Tsement toodab ehitustsementi ja lubjakivikillustikku.

General info

Name

Heidelberg Materials Kunda AS

Registry code

10156772

VAT number

EE100463327

Type

AS - Joint Stock Company

Status

Registered

Foundation date

21.03.1997 (27)

Financial year

01.01-31.12

Capital

25 044.40 €

Activity

08122 - Manufacture of crushed stone 68201 - Rental and operating of own or leased real estate 08121 - Operation of gravel and sand pits; mining of clays and kaolin 35141 - Trade of electricity 06101 - Mining of oil shale and extraction of crude petroleum 23991 - Manufacture of other non−metallic mineral products n.e.c. 46191 - Agents involved in the sale of a variety of goods 23511 - Manufacture of cement  

Revenue

37 794 000 €

Profit

3 966 000 €

Profit margin

10%

Gross salary

-

Equity

34 579 000 €

Employees

87

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

11%

Return on assets

9%

Related parties

Owner Representative Beneficial owner Roles

Imre Leetma

21.11.1962 (61)

- Procurator -

Riho Iskül

23.02.1978 (46)

- Procurator -

Urmas Kukk

16.07.1962 (62)

- Procurator -

Meelis Einstein

24.03.1960 (64)

- Board member -

Related companies

Owner Representative Beneficial owner Roles

Mittetulundusühing EJKL Kompetentsikeskus

80361433

- - - Founder (without contribution)

Financial info

2019
04.05.2020
2020
26.05.2021
2021
25.05.2022
2022
15.06.2023
2023
27.05.2024
Total Revenue 41 860 000 € 27 309 000 € 34 299 000 € 40 249 000 € 37 794 000 €
Net profit (loss) for the period 2 465 000 € -6 504 000 € -2 728 000 € 61 000 € 3 966 000 €
Profit Margin 6% -24% -8% 0% 10%
Current Assets 80 573 000 € 58 306 000 € 38 191 000 € 28 785 000 € 35 301 000 €
Fixed Assets 23 330 000 € 10 534 000 € 10 429 000 € 9 631 000 € 9 370 000 €
Total Assets 103 903 000 € 68 840 000 € 48 620 000 € 38 416 000 € 44 671 000 €
Current Liabilities 17 420 000 € 6 380 000 € 7 324 000 € 7 240 000 € 9 461 000 €
Non Current Liabilities 699 000 € 1 180 000 € 744 000 € 563 000 € 631 000 €
Total Liabilities 18 119 000 € 7 560 000 € 8 068 000 € 7 803 000 € 10 092 000 €
Share Capital 25 000 € 25 000 € 25 000 € 25 000 € 25 000 €
Equity 85 784 000 € 61 280 000 € 40 552 000 € 30 613 000 € 34 579 000 €
Employees 170 118 89 88 87

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 7 799 745.72 € 810 835.16 € 438 467.71 € 91
2023 Q4 15 276 705.52 € 2 000 417.44 € 423 272.63 € 89
2023 Q3 21 242 849.5 € 2 298 874.32 € 507 003.38 € 89
2023 Q2 9 979 423.84 € 1 770 695.92 € 734 104.19 € 89
2023 Q1 10 211 564.68 € 998 296.34 € 424 663.67 € 88
2022 Q4 16 311 041.11 € 1 702 167.84 € 409 207.82 € 90
2022 Q3 19 923 879.32 € 3 117 926.64 € 463 250.51 € 89
2022 Q2 11 800 981.8 € 1 843 073.52 € 701 242.48 € 91
2022 Q1 7 526 988.41 € 694 341.19 € 367 500.65 € 91
2021 Q4 11 260 161.84 € 1 314 961.49 € 373 350.47 € 91
2021 Q3 18 826 325.91 € 4 830 745.97 € 452 693.72 € 89
2021 Q2 10 084 123.88 € 1 601 998.06 € 694 710.21 € 92
2021 Q1 5 574 717.4 € 678 564.5 € 387 500.61 € 95
2020 Q4 26 120 204.87 € 1 320 278.58 € 388 452.37 € 92
2020 Q3 11 610 768.35 € 4 280 632.12 € 422 354.18 € 97
2020 Q2 9 273 746.96 € 2 350 317.87 € 1 618 249.32 € 99
2020 Q1 16 641 376.88 € 821 301.55 € 559 322.19 € 169