AS REHVIMEISTER

10327110

Company info

AS REHVIMEISTER

10327110

Home – Rehvimeisterhttps://rehvimeister.eeHome – Rehvimeister

Uued veoautorehvid | Vanade rehvide taastamine | Rehvivahetus | | Rehvimeister on Eesti suurim veoautorehivde müüja ja taastaja!

General info

Name

AS REHVIMEISTER

Registry code

10327110

VAT number

EE100343560

Type

AS - Joint Stock Company

Status

Registered

Foundation date

19.11.1997 (26)

Financial year

01.01-31.12

Capital

248 096.40 €

Activity

45201 - Maintenance and repair of motor vehicles 22111 - Manufacture of rubber tyres and tubes; retreading and rebuilding of rubber tyres 45321 - Retail trade of motor vehicle parts and accessories

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

Estview Holding OÜ

12550183

24% - 60 287.40 EUR - - Shareholder

Kolm Käbi OÜ

12247154

17% - 42 424.20 EUR - - Shareholder

AS REHVIMEISTER

10327110

10% - 24 810.00 EUR - - Shareholder

Buffeljags Securities Osaühing

12043807

43% - 107 177.40 EUR - - Shareholder

Toomas Maddison

12.04.1973 (51)

- Board member -

Leino Schnur

18.05.1973 (51)

- - Indirect ownership Board member

Aigar Ojaots

26.02.1974 (50)

- - Indirect ownership Founder

Andres Tiisler

10.04.1975 (49)

- - - Board member

Annika Raudpuu

03.10.1975 (49)

- - - Board member

Related companies

Owner Representative Beneficial owner Roles

REHVISPETS OÜ

12817344

100% - 2 500.00 EUR - - Founder

AS REHVIMEISTER

10327110

10% - 24 810.00 EUR - - Shareholder

Financial info

2019
17.12.2020
2020
25.11.2021
2021
08.08.2023
2022
03.11.2023
Total Revenue 4 394 563 € 4 102 756 € 5 071 942 € 5 821 951 €
Net profit (loss) for the period 66 941 € 50 246 € 71 216 € 488 652 €
Profit Margin 2% 1% 1% 8%
Current Assets 1 233 182 € 1 217 287 € 1 433 549 € 1 939 305 €
Fixed Assets 2 558 875 € 2 641 402 € 2 415 218 € 2 371 111 €
Total Assets 3 792 057 € 3 858 689 € 3 848 767 € 4 310 416 €
Current Liabilities 1 981 309 € 1 997 695 € 1 935 776 € 1 994 982 €
Non Current Liabilities - - 30 781 € 14 572 €
Total Liabilities - - 1 966 557 € 2 009 554 €
Share Capital 248 096 € 248 096 € 248 096 € 248 096 €
Equity 1 810 748 € 1 860 994 € 1 882 210 € 2 300 862 €
Employees 19 20 21 20

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 1 037 666.14 € 210 798.06 € 78 290.49 € 18
2023 Q4 2 800 331.46 € 327 725.26 € 94 554.49 € 18
2023 Q3 2 244 866.88 € 218 047.1 € 83 883.77 € 18
2023 Q2 1 331 394.61 € 185 345.53 € 69 923.88 € 19
2023 Q1 1 674 038.12 € 175 501.84 € 79 195.15 € 19
2022 Q4 2 841 879.1 € 272 974.96 € 88 496.25 € 19
2022 Q3 1 952 163.22 € 192 182.73 € 80 646.62 € 19
2022 Q2 1 698 986.22 € 163 110.7 € 80 165.09 € 19
2022 Q1 1 931 428.48 € 184 880.74 € 77 936.68 € 19
2021 Q4 2 948 770.96 € 257 858.89 € 86 175.45 € 19
2021 Q3 1 926 320.93 € 165 282.12 € 75 572.97 € 20
2021 Q2 1 231 967.74 € 145 468.86 € 70 464.01 € 20
2021 Q1 1 435 794.14 € 154 354.43 € 78 612.91 € 21
2020 Q4 2 287 258.84 € 205 955.22 € 75 932.53 € 21
2020 Q3 1 679 820.68 € 187 875.81 € 99 769.38 € 20
2020 Q2 1 097 666.52 € 105 412.5 € 41 954.57 € 19
2020 Q1 1 045 563.33 € 81 054.41 € 81 883.04 € 21