Osaühing SuFe

10275577

General info

Name

Osaühing SuFe

Registry code

10275577

VAT number

EE100107052

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

22.09.1997 (27)

Financial year

01.01-31.12

Capital

181 640.00 €

Activity

68201 - Rental and operating of own or leased real estate 68329 - Other real estate management or related activities 35301 - Steam and air conditioning supply 36001 - Water collection, treatment and supply

Revenue

229 224 €

Profit

-44 218 €

Profit margin

-19%

Gross salary

1 366 €

(estimate is approximate)

Equity

573 874 €

Employees

3

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-8%

Return on assets

-7%

Related parties

Owner Representative Beneficial owner Roles

Pärnu Linnavalitsus

75000064

100% - 181 640.00 EUR - -

Enn Martson

22.11.1967 (57)

- Board member -

Anu Peterson

21.09.1976 (48)

- - Member of a higher management body, i.e. board member or supervisory board member Board member

Karin Randmäe

14.01.1962 (62)

- - Member of a higher management body, i.e. board member or supervisory board member Board member

Toomas Rõhu

30.11.1958 (65)

- - Member of a higher management body, i.e. board member or supervisory board member Board member

Irina Talviste

30.05.1972 (52)

- - Indirect ownership

Marika Valter

06.12.1980 (43)

- - Indirect ownership

Meelis Kukk

26.07.1959 (65)

- - Indirect ownership

Priit Annus

22.07.1972 (52)

- - Indirect ownership

Riido Villup

12.05.1981 (43)

- - Indirect ownership

Romek Kosenkranius

07.02.1969 (55)

- - Indirect ownership

Silver Smeljanski

06.10.1989 (35)

- - Indirect ownership

Ene Täht

25.08.1966 (58)

- - Indirect ownership

Financial info

2019
08.06.2020
2020
17.06.2021
2021
08.06.2022
2022
22.05.2023
2023
12.06.2024
Total Revenue 122 391 € 125 529 € 136 825 € 170 154 € 229 224 €
Net profit (loss) for the period 75 920 € -19 770 € -42 662 € -29 111 € -44 218 €
Profit Margin 62% -16% -31% -17% -19%
Current Assets 40 963 € 63 766 € 60 628 € 71 305 € 77 356 €
Fixed Assets 662 636 € 648 602 € 614 748 € 573 531 € 525 745 €
Total Assets 703 599 € 712 368 € 675 376 € 644 836 € 603 101 €
Current Liabilities 27 831 € 22 503 € 27 414 € 26 744 € 29 227 €
Non Current Liabilities 4 133 € 0 € 759 € 0 € -
Total Liabilities 31 964 € - 28 173 € - -
Share Capital - - - - -
Equity 671 635 € 689 865 € 647 203 € 618 092 € 573 874 €
Employees 4 4 3 3 3

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 65 042.05 € 12 998.55 € 8 067.86 € 4
2023 Q4 56 020.36 € 9 450.53 € 5 687.5 € 4
2023 Q3 49 220.46 € 9 330.88 € 5 030.92 € 3
2023 Q2 53 950.39 € 9 104.41 € 5 186.31 € 3
2023 Q1 64 811.45 € 9 238.09 € 4 453.69 € 4
2022 Q4 43 618.71 € 8 728.03 € 5 181.82 € 4
2022 Q3 33 566.65 € 7 260.51 € 3 619.12 € 3
2022 Q2 36 725.81 € 7 720.97 € 4 253.99 € 4
2022 Q1 44 351.51 € 7 368.9 € 4 316.96 € 5
2021 Q4 36 222.19 € 7 393.79 € 3 658.05 € 5
2021 Q3 22 760.52 € 5 810.25 € 3 447.1 € 4
2021 Q2 31 801.28 € 5 902.54 € 4 331.22 € 4
2021 Q1 39 927.26 € 8 528.92 € 4 031.94 € 5
2020 Q4 28 542.01 € 1 639.59 € 3 622.5 € 5
2020 Q3 24 372.78 € 6 573.89 € 3 432.3 € 4
2020 Q2 29 648.06 € 6 858.85 € 4 141.39 € 4
2020 Q1 38 240.94 € 8 040.37 € 3 989.7 € 5