Rakvere Piimaühistu

10246653

Company info

Rakvere Piimaühistu

10246653

Avaleht - Rakvere Piimaühistuhttps://rpy.eeAvaleht - Rakvere Piimaühistu

Meist Rakvere Piimaühistu on Lääne-Virumaa piimatoojatele kuuluv ühistu, millel on pikaajalised traditsioonid ning mainekas kaugeleulatuv ajalugu. Rakvere Piimaühistu on edukas, kiiresti arenev ja aktiivse ühistegevusega regionaalne piimaühistu Eestis. Saame lähemalt tuttavaks 0 tonni piima päevas 0 karjasolevat lehma 0 aastat kogemust 0 Liiget PRIA toetus Rakvere Piimaühistu investeeringuid on toetatud PRIA poolt MAK meetme 4.1. … Avaleht Read More »

General info

Name

Rakvere Piimaühistu

Registry code

10246653

VAT number

EE100724231

Type

TÜH - General Partnership

Status

Registered

Foundation date

14.08.1997 (27)

Financial year

01.01-31.12

Activity

46901 - Non-specialised wholesale trade 46331 - Wholesale of dairy products, eggs and edible oils and fats

Revenue

20 928 055 €

Profit

105 680 €

Profit margin

1%

Gross salary

1 922 €

(estimate is approximate)

Equity

421 431 €

Employees

13

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

25%

Return on assets

4%

Related parties

Owner Representative Beneficial owner Roles

Priit Putko

25.02.1989 (35)

- Board member Member of a higher management body, i.e. board member or supervisory board member

Alo Altermann

28.11.1981 (42)

- - - Board member

Ott Läänemets

20.05.1987 (37)

- - - Board member

Toomas Laos

27.12.1978 (45)

- - - Board member

Related companies

Owner Representative Beneficial owner Roles

RPÜ Põld OÜ

14577909

100% - 2 500.00 EUR - -

Farm In Holding OÜ

14167229

8% - 1 234.00 EUR - - Founder

Farm In Productions OÜ

12925179

- - - Founder

tulundusühistu EPIKO

11555971

- - - Founder

Financial info

2019
17.07.2020
2020
18.06.2021
2021
09.05.2022
2022
08.06.2023
2023
10.06.2024
Total Revenue 17 942 332 € 18 294 270 € 13 414 643 € 19 160 326 € 20 928 055 €
Net profit (loss) for the period 43 833 € 36 686 € -36 872 € 72 € 105 680 €
Profit Margin 0% 0% -0% 0% 1%
Current Assets 2 072 141 € 1 936 645 € 1 639 604 € 2 447 774 € 2 330 751 €
Fixed Assets 179 917 € 241 997 € 389 224 € 186 967 € 139 845 €
Total Assets 2 252 058 € 2 178 642 € 2 028 828 € 2 634 741 € 2 470 596 €
Current Liabilities 1 609 598 € 1 468 670 € 1 395 637 € 2 019 452 € 1 750 143 €
Non Current Liabilities 205 872 € 257 252 € 304 050 € 299 419 € 299 022 €
Total Liabilities 1 815 470 € 1 725 922 € 1 699 687 € 2 318 871 € 2 049 165 €
Share Capital - - - - -
Equity 436 588 € 452 720 € 329 141 € 315 870 € 421 431 €
Employees 13 14 12 12 13

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 4 743 802.05 € 56 815.73 € 40 863.67 € 10
2023 Q4 4 848 667.41 € 84 858.76 € 41 140.53 € 10
2023 Q3 5 123 219.19 € 69 241.18 € 41 702.73 € 10
2023 Q2 5 710 955.01 € 54 854.04 € 38 827.97 € 11
2023 Q1 5 666 279.72 € 44 909.03 € 28 313.07 € 10
2022 Q4 5 179 916.2 € 45 075.8 € 28 253.43 € 10
2022 Q3 4 939 902.62 € 53 196.6 € 32 913.34 € 9
2022 Q2 4 567 990.03 € 36 070.76 € 25 419.03 € 9
2022 Q1 3 867 818.35 € 41 189.83 € 29 297.16 € 8
2021 Q4 3 307 738.6 € 38 374.69 € 25 104.75 € 9
2021 Q3 3 379 637.42 € 40 793.65 € 27 378.58 € 8
2021 Q2 3 507 346.5 € 45 819.92 € 29 201.75 € 8
2021 Q1 3 411 279.3 € 37 083.96 € 27 280.37 € 13
2020 Q4 4 180 630.05 € 43 751.71 € 28 468.61 € 14
2020 Q3 4 506 047.82 € 35 219.79 € 26 212.14 € 14
2020 Q2 5 016 121.53 € 33 519.32 € 22 216.46 € 14
2020 Q1 4 709 377.24 € 8 993.72 € 23 936.4 € 13