OSAÜHING AVEX

10263812

Company info

OSAÜHING AVEX

10263812

Metallitöötlusettevõte, mis pakub allhanke korras metallide töötlemise täisteenust. - Avex OÜhttps://www.avex.eeMetallitöötlusettevõte, mis pakub allhanke korras metallide töötlemise täisteenust. - Avex OÜ

Avex OÜ on metallitöötlusettevõte, mis pakub allhanke korras metallide töötlemise täisteenust masina- ja aparaadiehitusfirmadele ning tootmise automatiseerimise valdkonna ettevõtetele.

General info

Name

OSAÜHING AVEX

Registry code

10263812

VAT number

EE100145852

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

18.09.1997 (26)

Financial year

01.01-31.12

Capital

21 000.00 €

Activity

25991 - Manufacture of other fabricated metal products n.e.c.

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

Veljo Kask

05.04.1953 (71)

5% - 990.00 EUR - -

Tõnu Vaher

26.10.1960 (63)

0% - 6.00 EUR - -

Sergei Kutuzov

19.04.1936 (88)

2% - 498.00 EUR - -

Heidi Leppik

05.07.1974 (50)

2% - 498.00 EUR - -

Hanno Tamtik

18.06.1972 (52)

2% - 498.00 EUR - -

ASGAG OÜ

10043921

0% - 36.00 EUR - -

Toomas Sutrop

07.06.1958 (66)

15% - 3 150.00 EUR - -

Priit Pajulaid

18.02.1957 (67)

8% - 1 575.00 EUR - Direct ownership

Meelis Toms

01.02.1958 (66)

8% - 1 575.00 EUR - -

Lilian Pajulaid

21.01.1956 (68)

8% - 1 575.00 EUR - -

Viive Siider

17.09.1938 (85)

6% - 1 236.00 EUR - -

Tarmo Themas

31.08.1966 (58)

54% - 11 370.00 EUR Board member Direct ownership

Financial info

2019
04.12.2020
2020
10.08.2021
2021
26.10.2023
2022
21.11.2023
Total Revenue 1 589 577 € 1 599 800 € 7 238 925 € 7 447 665 €
Net profit (loss) for the period 1 143 211 € 90 000 € 813 129 € 56 098 €
Profit Margin 72% 6% 11% 1%
Current Assets 1 592 811 € 1 707 166 € 2 077 731 € 2 341 113 €
Fixed Assets 806 974 € 692 464 € 1 544 314 € 1 311 976 €
Total Assets 2 399 785 € 2 399 630 € 3 622 045 € 3 653 089 €
Current Liabilities 377 791 € 315 720 € 434 799 € 412 461 €
Non Current Liabilities 28 084 € 0 € 2 716 € 0 €
Total Liabilities 405 875 € - 437 515 € -
Share Capital - - - -
Equity 1 993 910 € 2 083 910 € 3 184 530 € 3 240 628 €
Employees 23 23 49 46

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 1 470 194.95 € 118 232.49 € 124 923.81 € 56
2023 Q4 1 630 668.07 € 127 014.16 € 134 032.31 € 57
2023 Q3 1 623 462.6 € 129 136.5 € 136 102.47 € 58
2023 Q2 2 632 968.86 € 120 419.69 € 126 714.69 € 58
2023 Q1 2 130 180.98 € 120 540.39 € 126 728.28 € 58
2022 Q4 2 315 401.41 € 116 562.32 € 122 611.68 € 56
2022 Q3 2 319 950.29 € 119 805.41 € 119 369.18 € 55
2022 Q2 2 435 925.96 € 109 134.54 € 115 161.83 € 55
2022 Q1 2 096 458.41 € 116 332.79 € 122 731.68 € 54
2021 Q4 2 159 428.17 € 115 341.48 € 121 453.85 € 56
2021 Q3 1 853 704.27 € 125 132.96 € 133 353.7 € 57
2021 Q2 2 596 715.29 € 189 362.13 € 115 265.73 € 57
2021 Q1 1 994 602.71 € 146 979.66 € 100 038.41 € 59
2020 Q4 1 471 804.26 € 101 473.6 € 98 566.9 € 57
2020 Q3 1 451 611.44 € 109 457.1 € 106 217.3 € 57
2020 Q2 1 650 685.98 € 106 011.13 € 112 916.37 € 59
2020 Q1 1 661 556.76 € 115 086.86 € 122 555.29 € 61