Wismari Haigla AS

10168516

General info

Name

Wismari Haigla AS

Registry code

10168516

Type

AS - Joint Stock Company

Status

Registered

Foundation date

04.12.1996 (27)

Financial year

01.01-31.12

Capital

26 611.20 €

Activity

86101 - Hospitalisation services 68201 - Rental and operating of own or leased real estate 56291 - Other food service activities 86221 - Provision of specialised medical treatment

Revenue

1 099 865 €

Profit

49 415 €

Profit margin

4%

Gross salary

1 542 €

(estimate is approximate)

Equity

1 963 719 €

Employees

32

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

3%

Return on assets

2%

Related parties

Owner Representative Beneficial owner Roles

Jaak Gramann

19.05.1958 (66)

17% - 4 435.20 EUR - - FounderShareholder

Jaanus Mumma

22.02.1952 (72)

14% - 3 628.80 EUR Board member Member of a higher management body, i.e. board member or supervisory board member FounderShareholder

Valdur Jänes

03.11.1946 (78)

14% - 3 628.80 EUR - Member of a higher management body, i.e. board member or supervisory board member FounderShareholder

Ulvi Ilumets

03.10.1963 (61)

- Board member -

Aleksandr Kardakov

11.05.1957 (67)

- - - Board member

Ann-Maarja Udras

05.11.1941 (83)

- - - Founder

Ellu Eik

05.04.1954 (70)

- - - Founder

Taimi Palk

24.08.1941 (83)

- - - Founder

Tamara Babitševa

30.09.1930 (94)

- - - Founder

Viive Teras

01.06.1955 (69)

- - - Founder

Vladimir Kirejev

10.09.1953 (71)

- - - Founder

Niina Prohhorenko

12.02.1953 (71)

- - - FounderBoard member

Igor Neem

14.09.1953 (71)

- - - FounderChairman of the board

Financial info

2019
12.10.2020
2020
17.05.2021
2021
30.03.2022
2022
11.05.2023
2023
23.05.2024
Total Revenue 1 252 695 € 1 219 569 € 1 154 198 € 1 101 074 € 1 099 865 €
Net profit (loss) for the period 170 342 € 87 948 € 123 446 € 57 262 € 49 415 €
Profit Margin 14% 7% 11% 5% 4%
Current Assets 227 424 € 173 396 € 240 099 € 207 176 € 223 309 €
Fixed Assets 1 929 162 € 1 958 412 € 1 889 181 € 1 868 371 € 1 847 562 €
Total Assets 2 156 586 € 2 131 808 € 2 129 280 € 2 075 547 € 2 070 871 €
Current Liabilities 217 193 € 223 292 € 208 712 € 157 085 € 107 152 €
Non Current Liabilities 277 113 € 162 446 € 55 210 € 0 € -
Total Liabilities 494 306 € 385 738 € 263 922 € - -
Share Capital 26 611 € 26 611 € 26 611 € 26 611 € 26 611 €
Equity 1 662 280 € 1 746 070 € 1 865 358 € 1 918 462 € 1 963 719 €
Employees 42 40 37 31 32

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 - 78 320.58 € 80 677.01 € 42
2023 Q4 - 75 472.71 € 77 179.48 € 42
2023 Q3 - 78 652.04 € 80 858.69 € 40
2023 Q2 - 67 603.53 € 68 920.99 € 41
2023 Q1 - 67 027.7 € 68 620.63 € 40
2022 Q4 - 70 630.73 € 72 342.33 € 42
2022 Q3 - 72 466.82 € 74 803.45 € 43
2022 Q2 - 69 651.58 € 71 068.14 € 43
2022 Q1 2 117.72 € 68 876.01 € 70 334.34 € 41
2021 Q4 8 769.68 € 63 978.37 € 64 297.57 € 44
2021 Q3 10 831.09 € 76 329.85 € 77 304.33 € 41
2021 Q2 15 090.56 € 68 416.52 € 67 856.3 € 44
2021 Q1 13 212.59 € 72 083.75 € 72 399.22 € 47
2020 Q4 13 561.55 € 73 787.44 € 72 911.91 € 48
2020 Q3 15 018.84 € 77 780.6 € 78 130.57 € 47
2020 Q2 15 548.23 € 69 415.75 € 69 060.49 € 46
2020 Q1 14 044.27 € 72 928.2 € 72 995.09 € 48