Aktsiaselts BENITO PUIT

10294391

Company info

Aktsiaselts BENITO PUIT

10294391

Tooted - Benito Puithttps://www.benito.eeTooted - Benito Puit

SAEMATERJAL Kuivatatud ja kuivatamata IMMUTATUD PUIT Roheline- ja pruunimmutus HÖÖVELMATERJAL Voodri- ja terrassilauad ning sõrestikprofiilid SAEMATERJAL Kuivatatud ja kuivatamata IMMUTATUD PUIT Roheline- ja pruunimmutus HÖÖVELMATERJAL Voodri- ja terrassilauad ning sõrestikprofiilid SAEMATERJAL IMMUTATUD PUIT Kuivatatud ja kuivatamata Roheline- ja pruunimmutus HÖÖVELMATERJAL Voodri- ja terrassilauad ning sõrestikprofiilid

General info

Name

Aktsiaselts BENITO PUIT

Registry code

10294391

VAT number

EE100457090

Type

AS - Joint Stock Company

Status

Registered

Foundation date

28.10.1997 (26)

Financial year

01.01-31.12

Capital

64 025.60 €

Activity

46131 - Agents involved in the sale of timber and building materials

Revenue

3 011 528 €

Profit

-28 858 €

Profit margin

-1%

Gross salary

1 498 €

(estimate is approximate)

Equity

8 045 973 €

Employees

4

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-0%

Return on assets

-0%

Related parties

Owner Representative Beneficial owner Roles

Hanno Muldma

30.10.1965 (58)

50% - 32 012.80 EUR Board member Direct ownership Shareholder

Andres Ljaš

15.12.1964 (59)

50% - 32 012.80 EUR - Direct ownership Chairman of the boardShareholder

Anneli Ratas

14.09.1970 (54)

- - - Board member

Katrin Vipp

07.03.1965 (59)

- - - Board member

Related companies

Owner Representative Beneficial owner Roles

Balti Liiv OÜ

16316343

39% - 974.80 EUR - -

OÜ NORDLUM

12365907

30% - 780.00 EUR - - Founder

OÜ Sining

10694860

100% - 40 000.00 EEK - -

Maardu Tervisemaja OÜ

14935740

57% - 2 280.00 EUR - -

Maardu Varahaldamise OÜ

16023291

50% - 2 000.00 EUR - - Founder

Financial info

2019
16.06.2020
2020
17.07.2021
2021
22.06.2022
2022
30.12.2023
2023
19.03.2024
Total Revenue 5 474 936 € 5 901 032 € 14 976 113 € 5 782 844 € 3 011 528 €
Net profit (loss) for the period 144 127 € 186 792 € 1 641 848 € 1 315 083 € -28 858 €
Profit Margin 3% 3% 11% 23% -1%
Current Assets 5 360 274 € 2 888 245 € 4 153 225 € 3 433 881 € 1 919 511 €
Fixed Assets 480 962 € 2 876 007 € 3 109 720 € 4 890 147 € 6 253 707 €
Total Assets 5 841 236 € 5 764 252 € 7 262 945 € 8 324 028 € 8 173 218 €
Current Liabilities 441 683 € 311 765 € 305 591 € 49 197 € 127 245 €
Non Current Liabilities - - - - -
Total Liabilities - - - - -
Share Capital 64 026 € 64 026 € 64 026 € 64 026 € 64 026 €
Equity 5 399 553 € 5 452 487 € 6 957 354 € 8 274 831 € 8 045 973 €
Employees 4 4 4 4 4

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 744 652.2 € 44 348.54 € 14 200.28 € 3
2023 Q4 784 925.02 € 34 071.47 € 9 755.03 € 4
2023 Q3 1 046 523.38 € 97 694.88 € 10 145 € 4
2023 Q2 1 418 827.07 € 100 322.21 € 9 839.91 € 4
2023 Q1 673 812.26 € 43 612.17 € 19 739.05 € 4
2022 Q4 676 556.07 € 79 424.03 € 9 060.81 € 4
2022 Q3 907 448.75 € 152 719.28 € 18 432.51 € 4
2022 Q2 3 122 519.18 € - 9 060.81 € 4
2022 Q1 1 842 254.66 € 10 361.27 € 8 832.43 € 4
2021 Q4 1 739 199.98 € 60 681.42 € 7 104.84 € 4
2021 Q3 8 265 709.98 € 399 692.62 € 17 126.16 € 4
2021 Q2 3 321 211.93 € 25 805.12 € 7 104.84 € 4
2021 Q1 1 729 811.01 € 29 135.06 € 6 890.35 € 4
2020 Q4 1 816 351.13 € 18 826.18 € 6 461.37 € 4
2020 Q3 1 496 755.18 € 89 511.09 € 12 496.03 € 4
2020 Q2 2 977 839.5 € 268 850.04 € 6 596.28 € 4
2020 Q1 892 573.55 € 8 343.49 € 6 352.01 € 4