aktsiaselts Pajo

10248356

Company info

aktsiaselts Pajo

10248356

Kvaliteetne trükiteenus | PAJO AShttps://www.pajoprint.eeKvaliteetne trükiteenus | PAJO AS

Trükivõimalused ofsett-trükist digitrükini, kogemusi üle 20 aasta, pühendunud ja innustunud töötajad, kaasaegsed trükimasinad- see ongi Pajo trükikoda.

General info

Name

aktsiaselts Pajo

Registry code

10248356

VAT number

EE100090787

Type

AS - Joint Stock Company

Status

Registered

Foundation date

08.08.1997 (27)

Financial year

01.01-31.12

Capital

26 000.00 €

Activity

18129 - Printing n.e.c., including silk−screen printing 46771 - Wholesale of waste and scrap, buying up packaging and tare 18121 - Printing of books 18111 - Printing of newspapers 18122 - Printing of periodicals, commercial catalogues, advertising materials, commercial documents and other office articles

Revenue

-

Profit

-

Profit margin

-

Gross salary

-

Equity

-

Employees

-

Annual report

Not submitted

Tax arrears

No tax arrears

Return on equity

-

Return on assets

-

Related parties

Owner Representative Beneficial owner Roles

RUTT PAJO

26.04.1953 (71)

38% - 9 828.00 EUR - Direct ownership ShareholderBoard member

Ain Pajo

05.06.1960 (64)

56% - 14 456.00 EUR - Direct ownership Shareholder

Minni Pajo

14.10.1989 (35)

- Board member -

Margo Vesselov

29.04.1975 (49)

- - - Board member

Jaagup Pajo

15.12.1987 (36)

- - - Board member

Kaarel Kaasik

12.11.1981 (42)

- - - Chairman of the board

Related companies

Owner Representative Beneficial owner Roles

Pärnu linn, Rohu tn 44 korteriühistu

80047912

- - - Founder

Financial info

2019
31.10.2020
2020
16.03.2022
2021
26.08.2022
2022
05.05.2023
Total Revenue 3 401 542 € 2 557 887 € 2 733 376 € 3 374 010 €
Net profit (loss) for the period -364 603 € 167 419 € 3 548 € 106 029 €
Profit Margin -11% 7% 0% 3%
Current Assets 513 195 € 524 134 € 501 807 € 684 137 €
Fixed Assets 1 519 631 € 1 398 684 € 1 294 550 € 1 291 747 €
Total Assets 2 032 826 € 1 922 818 € 1 796 357 € 1 975 884 €
Current Liabilities 1 198 969 € 1 593 475 € 1 619 706 € 1 000 075 €
Non Current Liabilities 814 950 € 155 884 € 0 € 693 129 €
Total Liabilities 2 013 919 € 1 749 359 € - 1 693 204 €
Share Capital 256 000 € 256 000 € 26 000 € 26 000 €
Equity 18 907 € 173 459 € 176 651 € 282 680 €
Employees 48 36 38 37

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 652 462.06 € 34 080.21 € 52 983.08 € 29
2023 Q4 807 351.06 € 63 943.52 € 67 751.77 € 26
2023 Q3 513 993.35 € 47 750.9 € 49 268.6 € 28
2023 Q2 808 172.39 € 23 948.55 € 67 956.04 € 28
2023 Q1 974 796.45 € 64 961.2 € 74 535.79 € 29
2022 Q4 790 129.59 € 59 690.52 € 61 282.85 € 30
2022 Q3 620 427.45 € 70 611.5 € 75 010.27 € 31
2022 Q2 1 157 469.12 € 19 182.29 € 76 667.1 € 31
2022 Q1 761 521.6 € 57 540.71 € 71 327.18 € 33
2021 Q4 834 727.56 € 80 390.21 € 86 909.36 € 33
2021 Q3 560 031.56 € 47 325.28 € 51 053.28 € 36
2021 Q2 809 512.85 € 75 484.25 € 79 977.3 € 32
2021 Q1 634 487.46 € 41 155.62 € 47 681.95 € 37
2020 Q4 679 091 € 80 176.72 € 85 021.91 € 38
2020 Q3 485 138.11 € 31 956.71 € 36 325.98 € 40
2020 Q2 674 102.33 € 68 733.39 € 71 823.86 € 44
2020 Q1 870 622.52 € 59 441.68 € 65 226 € 49