Aktsiaselts Galvi-Linda

10214972

Company info

Aktsiaselts Galvi-Linda

10214972

Galvi-Linda https://www.galvilinda.eeGalvi-Linda

Galvi-Linda AS on tekstiilist, nahast ning sünteetilistest materjalidest õmblustooteid valmistav ettevõte. Tootegrupid: Militaar- ja politseivarustus: seljakotid, relvakotid, meediku seljakotid, taktikalised vestid ja rakmed ning erinevat tüüpi taskud, vormirõivad ja ilmastikukindlad rõivad, erinevat tüüpi päästevestid ja päästeülikonnad. Jahi- ja matkavarustus: ilmastikukindlatest materjalidest rõivad, seljakotid, relvakotid ja kaarditaskud, telgid. Lemmikloomatarbed: helkurvestid, lamamismadratsid. PVC-st valmistatud paadi- ja mahutite katted. Istmete ja ratastoolide polsterdused. Nahktooted: kaaned juhilubadele ja passidele ning menüükaaned.

General info

Name

Aktsiaselts Galvi-Linda

Registry code

10214972

VAT number

EE100210208

Type

AS - Joint Stock Company

Status

Registered

Foundation date

17.06.1997 (27)

Financial year

01.01-31.12

Capital

39 000.00 €

Activity

13929 - Manufacture of other made−up textile articles

Revenue

5 162 249 €

Profit

657 990 €

Profit margin

13%

Gross salary

1 028 €

(estimate is approximate)

Equity

1 804 344 €

Employees

66

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

36%

Return on assets

33%

Related parties

Owner Representative Beneficial owner Roles

aktsiaselts LTT

10004430

100% - 39 000.00 EUR - - Shareholder

Lea Ridamäe

31.08.1970 (54)

- Board member -

Marge Laiõunpuu

10.02.1976 (48)

- Board member -

Marko Lilienthal

27.02.1967 (57)

- - Indirect ownership Board member

Peter Šaraškin

02.11.1967 (57)

- - Indirect ownership Board member

Omanikukonto: Tõnu Tõniste

26.04.1967 (57)

- - Indirect ownership Chairman of the board

Margery Moorlat

04.06.1974 (50)

- - Indirect ownership

Toomas Tõniste

26.04.1967 (57)

- - Indirect ownership

Financial info

2019
07.04.2020
2020
23.04.2021
2021
10.05.2022
2022
28.04.2023
2023
30.05.2024
Total Revenue 2 708 613 € 2 833 617 € 1 699 273 € 1 560 915 € 5 162 249 €
Net profit (loss) for the period 222 243 € 215 519 € 85 179 € 80 010 € 657 990 €
Profit Margin 8% 8% 5% 5% 13%
Current Assets 1 548 699 € 1 608 182 € 1 287 844 € 1 517 876 € 1 757 167 €
Fixed Assets 389 922 € 345 275 € 329 300 € 211 507 € 213 957 €
Total Assets 1 938 621 € 1 953 457 € 1 617 144 € 1 729 383 € 1 971 124 €
Current Liabilities 161 114 € 263 527 € 145 179 € 382 489 € 166 240 €
Non Current Liabilities 11 861 € 8 765 € 5 621 € 540 € 540 €
Total Liabilities 172 975 € 272 292 € 150 800 € 383 029 € 166 780 €
Share Capital 39 000 € 39 000 € 39 000 € 39 000 € 39 000 €
Equity 1 765 646 € 1 681 165 € 1 466 344 € 1 346 354 € 1 804 344 €
Employees 80 75 75 70 66

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 509 522.34 € 144 058.79 € 90 595.54 € 65
2023 Q4 1 164 325.08 € 239 939.8 € 83 909.59 € 66
2023 Q3 3 238 469.54 € 472 726.73 € 93 639.15 € 66
2023 Q2 1 440 861.51 € 126 834.37 € 92 103.17 € 67
2023 Q1 655 083.75 € 82 215.73 € 84 840.45 € 68
2022 Q4 473 844.14 € 85 218.43 € 80 376.5 € 72
2022 Q3 347 887.13 € 105 257.45 € 92 732.83 € 70
2022 Q2 642 857.68 € 189 206.74 € 91 722.32 € 71
2022 Q1 306 161.47 € 99 694.69 € 86 920.28 € 73
2021 Q4 454 876.55 € 112 645.46 € 94 126.89 € 71
2021 Q3 285 304.04 € 125 993.45 € 96 441.13 € 75
2021 Q2 641 185.61 € 160 157.41 € 97 881.08 € 73
2021 Q1 570 840.75 € 169 218.15 € 83 849.78 € 79
2020 Q4 950 617.81 € 169 704.36 € 90 063.54 € 78
2020 Q3 991 656.65 € 245 456.26 € 75 693.76 € 80
2020 Q2 786 947.69 € 115 831.02 € 96 822.85 € 82
2020 Q1 568 402.82 € 159 168.72 € 95 710.56 € 82