Osaühing SAVI

10248741

General info

Name

Osaühing SAVI

Registry code

10248741

VAT number

EE100087130

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

11.08.1997 (27)

Financial year

01.01-31.12

Capital

35 000.00 €

Activity

43991 - Ground works, concrete works and other bricklaying works

Revenue

3 040 196 €

Profit

14 825 €

Profit margin

0%

Gross salary

1 783 €

(estimate is approximate)

Equity

3 145 947 €

Employees

42

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

0%

Return on assets

0%

Related parties

Owner Representative Beneficial owner Roles

Sulev Tuude

15.08.1955 (69)

2% - 770.00 EUR - -

Aivar Põder

31.03.1959 (65)

2% - 756.00 EUR - -

Rein Vunder

16.01.1945 (79)

2% - 707.00 EUR - -

Peeter Volokitin

26.10.1951 (72)

0% - 70.00 EUR - -

Raivo Sildoja

19.07.1971 (53)

2% - 595.00 EUR - -

Kalju Tampuu

15.04.1959 (65)

2% - 553.00 EUR - -

Eili Lepik

20.01.1978 (46)

1% - 511.00 EUR - -

Elar Lepik

25.11.1979 (44)

1% - 511.00 EUR - -

Oleg Mjassojedov

23.12.1976 (47)

1% - 448.00 EUR - -

Margus Kimber

30.06.1978 (46)

11% - 3 682.00 EUR - -

Oleg Grents

23.03.1960 (64)

11% - 3 682.00 EUR - -

Aaro Kaasik

05.10.1966 (57)

1% - 238.00 EUR - -

Tiiu Kruusel

02.05.1946 (78)

6% - 2 121.00 EUR - -

Andres Alari

27.11.1955 (68)

1% - 196.00 EUR - -

Sulev Laanpere

25.10.1945 (78)

55% - 19 194.00 EUR Board member Direct ownership

Jüri Reinson

08.12.1954 (69)

4% - 1 477.00 EUR - -

Daniel Laanpere

31.01.1992 (32)

- Board member -

Financial info

2019
04.06.2020
2020
20.05.2021
2021
07.06.2022
2022
09.05.2023
2023
03.05.2024
Total Revenue 2 867 491 € 2 627 344 € 4 203 581 € 3 998 051 € 3 040 196 €
Net profit (loss) for the period -129 696 € -264 857 € 829 065 € 384 739 € 14 825 €
Profit Margin -5% -10% 20% 10% 0%
Current Assets 2 189 612 € 2 589 047 € 3 063 325 € 2 678 865 € 2 616 769 €
Fixed Assets 1 774 301 € 703 552 € 694 550 € 1 071 357 € 899 346 €
Total Assets 3 963 913 € 3 292 599 € 3 757 875 € 3 750 222 € 3 516 115 €
Current Liabilities 481 738 € 375 281 € 311 492 € 319 100 € 370 168 €
Non Current Liabilities - - - - -
Total Liabilities - - - - -
Share Capital - - - - -
Equity 3 482 175 € 2 917 318 € 3 446 383 € 3 431 122 € 3 145 947 €
Employees 46 44 40 41 42

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 1 012 930.87 € 237 584.97 € 136 492.91 € 43
2023 Q4 1 117 796.29 € 329 569.6 € 160 383.71 € 42
2023 Q3 858 730.14 € 193 724.55 € 105 841.17 € 41
2023 Q2 609 901.35 € 154 468.58 € 100 513.83 € 42
2023 Q1 468 443.67 € 174 784.03 € 128 514.37 € 43
2022 Q4 2 064 455.95 € 356 356.22 € 143 152.46 € 43
2022 Q3 1 384 696.49 € 324 347.22 € 133 441.76 € 45
2022 Q2 1 102 032.05 € 190 740.57 € 102 499.43 € 47
2022 Q1 390 839.53 € 115 232.69 € 109 328.18 € 46
2021 Q4 954 144.3 € 194 378.04 € 108 264.73 € 44
2021 Q3 1 759 203.07 € 329 832.56 € 132 295.37 € 42
2021 Q2 1 446 720.63 € 322 543.53 € 115 359.69 € 48
2021 Q1 897 790.78 € 191 872.7 € 102 488.62 € 45
2020 Q4 849 127.84 € 180 077.47 € 85 617.16 € 41
2020 Q3 589 189.05 € 158 189.32 € 88 191.13 € 42
2020 Q2 811 412.29 € 255 839.18 € 115 081.22 € 44
2020 Q1 1 027 166.12 € 203 728.2 € 106 514.61 € 49