PÕDRA MAJA OSAÜHING

10385751

Company info

PÕDRA MAJA OSAÜHING

10385751

POINT | SERIAALID, LAVASTUSED, ERAESINEMISED, ARTISTIDhttps://point.eePOINT | SERIAALID, LAVASTUSED, ERAESINEMISED, ARTISTID

Pointi supervõime on loomine. Meie avatud meeskond koosneb oma ala tippudest. Me kirjutame, esitame, juhime, ehitame, filmime, produtseerime.

General info

Name

PÕDRA MAJA OSAÜHING

Registry code

10385751

VAT number

EE100042104

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

27.02.1998 (26)

Financial year

01.01-31.12

Capital

63 912.00 €

Activity

43129 - Other earth and soil works 43211 - Installation of electrical wiring and fittings 4221 - Construction of utility projects for fluids 42991 - Construction of other civil engineering projects n.e.c. 43299 - Other construction installation n.e.c. 16291 - Manufacture of wooden articles and ornaments 77121 - Rental and leasing of trucks 47991 - Other retail sale not in stores, stalls or markets

Revenue

2 356 823 €

Profit

-43 071 €

Profit margin

-2%

Gross salary

1 499 €

(estimate is approximate)

Equity

1 391 911 €

Employees

23

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-3%

Return on assets

-2%

Related parties

Owner Representative Beneficial owner Roles

Ahti Käsi

17.08.1966 (58)

100% - 63 912.00 EUR - Direct ownership Founder

Ranel Käsi

21.09.1992 (32)

- Board member -

Tamar Tenn

23.04.1962 (62)

- Board member -

Raul Piirimees

14.07.1967 (57)

- - - Founder

Related companies

Owner Representative Beneficial owner Roles

OÜ PM Invest

11202008

- - - Founder

Financial info

2019
29.10.2020
2020
17.06.2021
2021
14.06.2022
2022
12.06.2023
2023
06.06.2024
Total Revenue 2 615 973 € 2 542 285 € 2 706 228 € 2 180 356 € 2 356 823 €
Net profit (loss) for the period 607 111 € 223 548 € 69 757 € -167 910 € -43 071 €
Profit Margin 23% 9% 3% -8% -2%
Current Assets 614 403 € 629 525 € 577 731 € 288 056 € 439 911 €
Fixed Assets 1 558 693 € 2 064 468 € 2 015 120 € 1 993 622 € 1 835 329 €
Total Assets 2 173 096 € 2 693 993 € 2 592 851 € 2 281 678 € 2 275 240 €
Current Liabilities 497 563 € 638 000 € 538 139 € 434 956 € 589 869 €
Non Current Liabilities 112 447 € 419 358 € 348 320 € 308 240 € 293 460 €
Total Liabilities 610 010 € 1 057 358 € 886 459 € 743 196 € 883 329 €
Share Capital - - - - -
Equity 1 563 086 € 1 636 635 € 1 706 392 € 1 538 482 € 1 391 911 €
Employees 22 24 27 28 23

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 658 096.08 € 180 905.49 € 53 315.47 € 22
2023 Q4 577 441.5 € 79 196.35 € 54 646.28 € 22
2023 Q3 730 937.68 € 99 836 € 55 630.21 € 23
2023 Q2 635 553.02 € 80 139.65 € 46 245.05 € 23
2023 Q1 465 984.59 € 83 413.69 € 40 569.33 € 24
2022 Q4 652 208.66 € 55 099.73 € 35 218.73 € 25
2022 Q3 842 842.53 € 93 284.48 € 29 136.49 € 26
2022 Q2 399 432.49 € 34 236.19 € 36 082.82 € 28
2022 Q1 520 343.79 € 129 819.98 € 50 038.04 € 29
2021 Q4 677 162.51 € 112 113.61 € 62 162.17 € 30
2021 Q3 664 301.03 € 105 634.06 € 60 989.8 € 28
2021 Q2 723 077.65 € 103 256.66 € 49 211.53 € 30
2021 Q1 726 561.57 € 171 335.55 € 48 667.31 € 26
2020 Q4 518 409.9 € 69 557.32 € 49 448 € 27
2020 Q3 716 991.84 € 78 050.43 € 38 255.06 € 27
2020 Q2 695 214.42 € 41 521.63 € 29 225.39 € 27
2020 Q1 666 993.83 € 95 131.07 € 44 354.01 € 24