Alas-Kuul AS

10405353

Company info

Alas-Kuul AS

10405353

Tööstuse teenindus | Alas-Kuul e-poodhttp://www.alas-kuul.eeTööstuse teenindus | Alas-Kuul e-pood

Alas-Kuul müüb tööstusseadmeid: keevitusseadmeid ja lisamaterjale, metallilõikeinstrumente, reduktoreid, kompressoreid, vedrusid ja palju muud!

General info

Name

Alas-Kuul AS

Registry code

10405353

VAT number

EE100073759

Type

AS - Joint Stock Company

Status

Registered

Foundation date

10.03.1998 (26)

Financial year

01.01-31.12

Capital

126 000.00 €

Activity

9609 - Other personal service activities n.e.c. 4669 - Wholesale of other machinery and equipment

Revenue

26 495 310 €

Profit

2 682 810 €

Profit margin

10%

Gross salary

3 155 €

(estimate is approximate)

Equity

10 120 174 €

Employees

80

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

27%

Return on assets

19%

Related parties

Owner Representative Beneficial owner Roles

OÜ DISTRIBUUTOR

10902399

51% - 64 260.00 EUR - - Shareholder

Veiko Soots

08.07.1969 (55)

26% - 32 130.00 EUR - Direct ownership Board memberShareholder

Indrek Orro

29.06.1970 (54)

- Board member Direct ownership

Karme Ots

06.12.1950 (73)

- - Direct ownership Board member

Rünno Tauts

16.01.1966 (58)

- - Direct ownership Board member

Related companies

Owner Representative Beneficial owner Roles

WoodMore OÜ

16707977

30% - 450.00 EUR - -

Financial info

2019
30.06.2020
2020
05.03.2021
2021
30.06.2022
2022
02.03.2023
2023
04.04.2024
Total Revenue 21 788 232 € 19 277 863 € 23 738 743 € 27 466 521 € 26 495 310 €
Net profit (loss) for the period 1 727 830 € 863 851 € 2 661 149 € 3 038 865 € 2 682 810 €
Profit Margin 8% 4% 11% 11% 10%
Current Assets 6 525 891 € 6 651 014 € 8 733 550 € 9 850 363 € 10 254 684 €
Fixed Assets 3 987 345 € 3 659 553 € 3 487 178 € 3 700 008 € 3 641 876 €
Total Assets 10 513 236 € 10 310 567 € 12 220 728 € 13 550 371 € 13 896 560 €
Current Liabilities 3 204 981 € 3 377 386 € 4 282 884 € 4 349 371 € 3 776 386 €
Non Current Liabilities 1 223 985 € 837 269 € 439 345 € 63 636 € 0 €
Total Liabilities 4 428 966 € 4 214 655 € 4 722 229 € 4 413 007 € -
Share Capital 126 000 € 126 000 € 126 000 € 126 000 € 126 000 €
Equity 6 084 270 € 6 095 912 € 7 498 499 € 9 137 364 € 10 120 174 €
Employees 69 68 71 77 80

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 10 964 735.03 € 1 683 542.79 € 416 850.62 € 78
2023 Q4 9 907 453.69 € 1 468 711.09 € 360 485.42 € 74
2023 Q3 10 092 276.4 € 1 514 154.79 € 411 470.92 € 73
2023 Q2 10 540 781.23 € 1 630 572.08 € 448 282 € 75
2023 Q1 10 487 043.11 € 1 663 804.33 € 439 398.85 € 80
2022 Q4 10 388 914.76 € 1 424 446.88 € 346 454.26 € 79
2022 Q3 9 386 415.04 € 1 416 683.6 € 338 403.16 € 75
2022 Q2 12 209 232.08 € 1 749 659.84 € 391 811.76 € 73
2022 Q1 10 143 022.17 € 1 516 042.59 € 384 875.33 € 71
2021 Q4 10 222 159.47 € 1 402 131 € 277 116.66 € 66
2021 Q3 9 102 825.6 € 1 293 040.39 € 283 013.41 € 66
2021 Q2 9 418 140.62 € 1 325 870 € 283 486.4 € 67
2021 Q1 7 510 358.93 € 1 071 299.14 € 246 479.27 € 67
2020 Q4 7 662 196.19 € 1 073 395.29 € 209 442.71 € 64
2020 Q3 6 987 602.72 € 991 675.14 € 221 884.87 € 62
2020 Q2 7 898 877.53 € 1 090 828.86 € 261 847.11 € 63
2020 Q1 8 023 591.11 € 1 121 249.4 € 270 304.31 € 66