AS KROONPRESS

10272337

Company info

AS KROONPRESS

10272337

Kroonpress is specialised in the production of magazines, books, catalogues, newspapers and other large-volume advertising products. | Kroonpresshttp://www.kroonpress.eeKroonpress is specialised in the production of magazines, books, catalogues, newspapers and other large-volume advertising products. | Kroonpress

Kroonpress is specialised in the production of magazines, books, catalogues, newspapers and other large-volume advertising products.

General info

Name

AS KROONPRESS

Registry code

10272337

VAT number

EE100018853

Type

AS - Joint Stock Company

Status

Registered

Foundation date

22.09.1997 (26)

Financial year

01.05-30.04

Capital

1 744 224.00 €

Activity

17211 - Manufacture of corrugated paper and paperboard and of containers of paper and paperboard 18111 - Printing of newspapers 46191 - Agents involved in the sale of a variety of goods 49411 - Freight transport by road 1812 - Other printing

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

MM Grupp OÜ

10515366

100% - 1 744 224.00 EUR - - Shareholder

Andres Kull

26.07.1970 (54)

- Board member -

Gerd Lindmaa

06.04.1973 (51)

- Board member -

Raul Sõrmus

09.07.1978 (46)

- Board member -

Omanikukonto: MARGUS LINNAMÄE

05.01.1964 (60)

- - Indirect ownership Chairman of the board

Kristel Volver

30.08.1990 (34)

- - - Board member

Margus Kähri

31.12.1978 (45)

- - - Board member

Financial info

2019
30.10.2020
2020
30.10.2021
2021
30.10.2022
2022
30.10.2023
Total Revenue 28 182 424 € 25 333 896 € 27 961 662 € 33 874 992 €
Net profit (loss) for the period 13 584 € -82 996 € -393 356 € -2 069 945 €
Profit Margin 0% -0% -1% -6%
Current Assets 5 696 470 € 6 835 069 € 7 599 495 € 8 312 351 €
Fixed Assets 13 375 055 € 17 853 104 € 21 349 370 € 19 773 977 €
Total Assets 19 071 525 € 24 688 173 € 28 948 865 € 28 086 328 €
Current Liabilities 2 745 079 € 3 732 415 € 10 367 404 € 7 460 076 €
Non Current Liabilities 3 084 291 € 7 796 599 € 5 815 658 € 9 930 394 €
Total Liabilities 5 829 370 € 11 529 014 € 16 183 062 € 17 390 470 €
Share Capital 1 744 224 € 1 744 224 € 1 744 224 € 1 744 224 €
Equity 13 242 155 € 13 159 159 € 12 765 803 € 10 695 858 €
Employees 237 231 227 232

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 6 112 538.58 € 1 044 835.99 € 682 897.33 € 129
2023 Q4 11 323 776.74 € 1 144 539.78 € 718 834.1 € 167
2023 Q3 10 737 832.4 € 1 122 114.77 € 770 997.58 € 221
2023 Q2 13 248 271.3 € 1 204 155.54 € 751 433.24 € 237
2023 Q1 12 447 701.85 € 1 126 470.5 € 702 569.05 € 249
2022 Q4 14 328 056.07 € 1 185 824.6 € 682 102.24 € 237
2022 Q3 12 372 788.64 € 1 041 358.7 € 743 793.07 € 246
2022 Q2 13 690 381.68 € 985 993.25 € 703 946.53 € 247
2022 Q1 11 615 302.71 € 807 664.51 € 623 088.05 € 247
2021 Q4 13 406 198.85 € 891 603.55 € 590 666.37 € 231
2021 Q3 9 583 837.32 € 931 623.43 € 649 202.47 € 227
2021 Q2 11 396 777.79 € 900 525.69 € 614 906.14 € 241
2021 Q1 8 950 441.47 € 841 859.18 € 582 604.76 € 237
2020 Q4 13 718 411.24 € 973 777.07 € 593 098.04 € 234
2020 Q3 12 252 032.75 € 825 283.55 € 577 821.02 € 234
2020 Q2 9 853 532.76 € 982 401.38 € 593 106.08 € 245
2020 Q1 10 460 852.11 € 799 371.5 € 628 678.54 € 265