aktsiaselts "Rõngu Mahl"

10513507

Company info

aktsiaselts "Rõngu Mahl"

10513507

Rõngu Mahl | Küllus - mahlad, moosid, kontsentraadidhttps://www.mahl.eeRõngu Mahl | Küllus - mahlad, moosid, kontsentraadid

ökoloogiliselt puhastest metsamarjadest. · Küllus on hoidistebränd, mille eripäraks on käsitsi korjatud metsamarjad, mis on pärit põhjamaisest puhtast loodusest.

General info

Name

aktsiaselts "Rõngu Mahl"

Registry code

10513507

VAT number

EE100503533

Type

AS - Joint Stock Company

Status

Registered

Foundation date

17.12.1998 (25)

Financial year

01.01-31.12

Capital

420 000.00 €

Activity

10391 - Other processing and preserving of fruit and vegetables 10321 - Manufacture of fruit and vegetable juice

Revenue

2 944 251 €

Profit

47 496 €

Profit margin

2%

Gross salary

-

Equity

2 987 335 €

Employees

20

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

2%

Return on assets

1%

Related parties

Owner Representative Beneficial owner Roles

Peeter Munitsõn

09.11.1965 (58)

50% - 210 000.00 EUR Board member Direct ownership Shareholder

OÜ MPMR Holding

12574663

50% - 210 000.00 EUR - - Shareholder

Külli Rohtmets

31.01.1964 (60)

- - - Board member

Marek Rohtmets

21.07.1987 (37)

- - - Board member

Martin Rohtmets

21.07.1987 (37)

- - - Board member

Tarmo Munitsõn

15.12.1968 (55)

- - - Board member

Promens Rõngu AS

10034023

- - - Founder

Financial info

2019
29.10.2020
2020
30.06.2021
2021
29.06.2022
2022
26.06.2023
2023
26.06.2024
Total Revenue 2 427 452 € 2 220 058 € 2 266 942 € 2 671 319 € 2 944 251 €
Net profit (loss) for the period 123 284 € 43 463 € 5 844 € 40 182 € 47 496 €
Profit Margin 5% 2% 0% 2% 2%
Current Assets 2 063 327 € 2 168 414 € 2 315 987 € 2 696 541 € 2 189 496 €
Fixed Assets 1 218 084 € 1 054 948 € 960 749 € 2 930 028 € 2 436 345 €
Total Assets 3 281 411 € 3 223 362 € 3 276 736 € 5 626 569 € 4 625 841 €
Current Liabilities 271 362 € 172 312 € 295 475 € 1 672 867 € 582 247 €
Non Current Liabilities 108 699 € 106 237 € 46 604 € 993 863 € 1 056 259 €
Total Liabilities 380 061 € 278 549 € 342 079 € 2 666 730 € 1 638 506 €
Share Capital 420 000 € 420 000 € 420 000 € 420 000 € 420 000 €
Equity 2 901 350 € 2 944 813 € 2 934 657 € 2 959 839 € 2 987 335 €
Employees 23 22 21 20 20

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 900 793.57 € 176 229.8 € 62 744.67 € 22
2023 Q4 936 579.51 € 120 184.61 € 64 862.63 € 22
2023 Q3 868 773.99 € 129 379.55 € 66 338.77 € 21
2023 Q2 860 780.94 € 146 733.65 € 59 820.65 € 23
2023 Q1 781 269.35 € 106 407.92 € 64 502.86 € 21
2022 Q4 983 981.16 € - 57 876.11 € 22
2022 Q3 645 471.61 € - 58 871.63 € 22
2022 Q2 821 737.95 € 28 708.74 € 58 770.78 € 21
2022 Q1 708 325.89 € 97 435.67 € 51 493.53 € 22
2021 Q4 805 174.49 € 98 682.34 € 50 752.98 € 21
2021 Q3 622 426.92 € 102 439.1 € 52 518.89 € 22
2021 Q2 544 481.47 € 84 629.03 € 51 790.81 € 21
2021 Q1 707 896.77 € 133 649.64 € 62 613.61 € 21
2020 Q4 792 616.3 € 85 372.03 € 47 592.51 € 21
2020 Q3 576 544.5 € 80 323 € 44 488.38 € 21
2020 Q2 536 996.09 € 98 551.05 € 58 610.01 € 22
2020 Q1 698 491.43 € 121 040.63 € 71 553.84 € 21