aktsiaselts SAMELIN

10163298

Company info

aktsiaselts SAMELIN

10163298

Samelin AS | footwear manufacturer | Kastani 48, Tartu, Estoniahttps://www.samelin.eeSamelin AS | footwear manufacturer | Kastani 48, Tartu, Estonia

Samelin AS is a footwear manufacturing company, with roots from 1945. Our product range includes military, work and safety footwear, hiking boots and street essentials for the whole family. Samelin brand is known for good quality, which also extends to other brands we produce for.

General info

Name

aktsiaselts SAMELIN

Registry code

10163298

VAT number

EE100010958

Type

AS - Joint Stock Company

Status

Registered

Foundation date

15.11.1996 (27)

Financial year

01.01-31.12

Capital

120 960.00 €

Activity

68201 - Rental and operating of own or leased real estate 47721 - Retail sale of footwear and leather goods in specialised stores 15201 - Manufacture of footwear

Revenue

4 438 908 €

Profit

-82 984 €

Profit margin

-2%

Gross salary

1 265 €

(estimate is approximate)

Equity

624 842 €

Employees

75

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-13%

Return on assets

-2%

Related parties

Owner Representative Beneficial owner Roles

Leida Kikka

28.10.1959 (65)

75% - 90 121.50 EUR Board member Direct ownership Shareholder

Siim Kikka

22.09.1979 (45)

23% - 28 350.00 EUR Board member - Shareholder

Riina Vau

07.08.1970 (54)

- Board member -

Indrek Lumi

25.09.1978 (46)

- - - Board member

Toomas Vau

23.10.1967 (57)

- - - Board member

Jüri Kikka

02.01.1949 (75)

- - - Chairman of the board

Financial info

2019
12.06.2020
2020
28.05.2021
2021
08.08.2022
2022
24.05.2023
2023
22.05.2024
Total Revenue 3 858 263 € 3 700 637 € 3 709 981 € 4 498 046 € 4 438 908 €
Net profit (loss) for the period 51 959 € 235 752 € 2 054 € -203 141 € -82 984 €
Profit Margin 1% 6% 0% -5% -2%
Current Assets 1 118 519 € 1 099 924 € 1 520 976 € 1 805 482 € 1 990 206 €
Fixed Assets 1 669 973 € 1 715 562 € 1 766 764 € 1 711 548 € 1 586 323 €
Total Assets 2 788 492 € 2 815 486 € 3 287 740 € 3 517 030 € 3 576 529 €
Current Liabilities 1 688 969 € 1 645 119 € 2 239 589 € 2 786 668 € 2 951 687 €
Non Current Liabilities 426 362 € 261 454 € 137 184 € 22 536 € 0 €
Total Liabilities 2 115 331 € 1 906 573 € 2 376 773 € 2 809 204 € -
Share Capital 120 960 € 120 960 € 120 960 € 120 960 € 120 960 €
Equity 673 161 € 908 913 € 910 967 € 707 826 € 624 842 €
Employees 85 88 84 80 75

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 1 057 312.53 € 213 754.14 € 137 698.11 € 75
2023 Q4 1 568 031.96 € 115 240.97 € 121 701.37 € 79
2023 Q3 1 064 815.45 € 132 541.4 € 139 491.45 € 78
2023 Q2 1 570 722.39 € 129 304.42 € 137 411.15 € 80
2023 Q1 1 337 175.78 € 231 860.5 € 157 352.83 € 81
2022 Q4 2 245 597.62 € 66 726.52 € 135 764.93 € 81
2022 Q3 822 879.76 € 138 060.83 € 147 152.15 € 80
2022 Q2 1 184 891.42 € 168 313.58 € 134 477.18 € 84
2022 Q1 980 226.58 € 121 839.42 € 129 862.05 € 85
2021 Q4 1 575 046.29 € 113 739.31 € 121 433.94 € 84
2021 Q3 1 002 110.93 € 100 243.3 € 102 465.28 € 83
2021 Q2 886 654.02 € 93 577.43 € 99 988.17 € 84
2021 Q1 1 233 386.09 € 140 342.5 € 133 189.77 € 88
2020 Q4 1 366 054.3 € 143 162.64 € 125 338.47 € 89
2020 Q3 569 199.37 € 74 061.79 € 80 049.18 € 86
2020 Q2 1 146 822.99 € 155 597.67 € 124 455.61 € 87
2020 Q1 939 519.56 € 128 455.39 € 97 824.28 € 88