OÜ AKROM-EX

10253883

Company info

OÜ AKROM-EX

10253883

Avaleht - AkromEXhttps://www.akrom.eeAvaleht - AkromEX

#Uurige Akrom-EX tootevalikut Akrom-EX pakub kvaliteetseid laboritarbed ja esmaklassilist kliendituge. Meie partnerite e-poes leiate kõik labori vajadusteks näiteks valik laboriseadmeid https://www.carlroth.com/com/en/labware/c/web_folder_395535 kemikaale https://www.carlroth.com/com/en/chemicals/c/web_folder_260523 ja palju muud. Avastage viimaseid innovatsioone ja teaduse ja tehnika lahendusi. Rohkem infot Akrom-EX - Avaleht Akrom-EX - laboritarvete autoriteet, pakub usaldusväärset ja kvaliteetset valikut alates kaaludest kuni kemikaalideni. Erakordne ostukogemus Eesti Laboriseadmed, kemikaalid, kaalud, titraatorid, Clarus tarkvara, klaasist nõud, plastist nõud, kolvid, pipetid, keeduklaasid,

General info

Name

OÜ AKROM-EX

Registry code

10253883

VAT number

EE100044500

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

28.08.1997 (27)

Financial year

01.01-31.12

Capital

25 560.00 €

Activity

46462 - Wholesale of medical appliances and surgical and orthopaedic instruments and devices 46901 - Non-specialised wholesale trade 68201 - Rental and operating of own or leased real estate

Revenue

257 659 €

Profit

23 708 €

Profit margin

9%

Gross salary

756 €

(estimate is approximate)

Equity

290 406 €

Employees

1

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

8%

Return on assets

8%

Related parties

Owner Representative Beneficial owner Roles

Viljar Pihl

05.02.1938 (86)

28% - 7 029.00 EUR Board member Direct ownership Founder

Mihkel Miil

05.02.1951 (73)

15% - 3 834.00 EUR Board member Direct ownership Founder

Tõnu Tõnutare

01.09.1964 (60)

13% - 3 195.00 EUR - Direct ownership Founder

Jaan Pentšuk

25.11.1950 (73)

45% - 11 502.00 EUR Board member Direct ownership Founder

Financial info

2019
27.06.2020
2020
27.06.2021
2021
27.06.2022
2022
30.06.2023
2023
29.06.2024
Total Revenue 149 372 € 254 103 € 212 684 € 317 714 € 257 659 €
Net profit (loss) for the period 1 083 € 34 196 € 21 215 € 14 889 € 23 708 €
Profit Margin 1% 13% 10% 5% 9%
Current Assets 122 396 € 172 158 € 198 587 € 221 425 € 229 484 €
Fixed Assets 79 614 € 68 019 € 61 513 € 50 115 € 73 579 €
Total Assets 202 010 € 240 177 € 260 100 € 271 540 € 303 063 €
Current Liabilities 5 702 € 9 673 € 8 018 € 4 707 € 12 657 €
Non Current Liabilities - - - - -
Total Liabilities - - - - -
Share Capital - - - - -
Equity 196 308 € 230 504 € 252 082 € 266 833 € 290 406 €
Employees 2 1 1 1 1

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 88 450.37 € 8 678.13 € 1 179.02 € 1
2023 Q4 97 696.08 € 9 006.22 € 805.59 € 1
2023 Q3 87 198.16 € 10 146.87 € 792.86 € 1
2023 Q2 142 425.6 € 14 962.68 € 734.04 € 1
2023 Q1 88 961.81 € 8 317.31 € 1 263.93 € 1
2022 Q4 185 880.92 € 15 537.94 € 693.03 € 1
2022 Q3 163 137.41 € 15 099.25 € 2 502.43 € 1
2022 Q2 153 672.65 € 15 704 € 1 286.6 € 1
2022 Q1 123 431.95 € 12 482.44 € 1 386.06 € 2
2021 Q4 103 304.59 € 9 908.11 € 693.03 € 2
2021 Q3 98 473.67 € 7 152.12 € 693.03 € 1
2021 Q2 74 445.98 € 8 455.7 € 693.03 € 1
2021 Q1 107 377.03 € 10 300.03 € 668.09 € 1
2020 Q4 123 407.98 € 12 207.64 € 618.21 € 1
2020 Q3 90 516.27 € 11 524.33 € 618.21 € 1
2020 Q2 63 982.49 € 7 544.79 € 1 295.61 € 1
2020 Q1 72 451.53 € 9 030.42 € 1 411.2 € 1