Osaühing PAIKRE

10836969

General info

Name

Osaühing PAIKRE

Registry code

10836969

VAT number

EE100805668

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

15.02.2002 (22)

Financial year

01.01-31.12

Capital

214 104.00 €

Activity

77399 - Renting and operational leasing of other machinery, equipment and tangible assets not classified elsewhere 38121 - Collection of hazardous waste 35119 - Other electricity production (including from biomass) 38211 - Treatment and disposal of non-hazardous waste

Revenue

4 708 122 €

Profit

505 730 €

Profit margin

11%

Gross salary

1 335 €

(estimate is approximate)

Equity

7 353 934 €

Employees

70

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

7%

Return on assets

5%

Related parties

Owner Representative Beneficial owner Roles

Pärnu Linnavalitsus

75000064

100% - 214 104.00 EUR - - Founder

Toomas Liidemaa

03.08.1972 (52)

- Board member -

Aare Arva

17.10.1959 (64)

- - Member of a higher management body, i.e. board member or supervisory board member Board member

Ats Rääk

08.06.1957 (67)

- - Member of a higher management body, i.e. board member or supervisory board member Board member

Väino Hallikmägi

13.03.1953 (71)

- - Member of a higher management body, i.e. board member or supervisory board member Board member

Tarvi Markson

13.06.1970 (54)

- - Member of a higher management body, i.e. board member or supervisory board member Board member

Meelis Kukk

26.07.1959 (65)

- - Member of a higher management body, i.e. board member or supervisory board member Chairman of the board

Related companies

Owner Representative Beneficial owner Roles

Osaühing Pärnu Päikesepark 4

14507984

20% - 6 390.00 EUR - - Founder

Osaühing Pärnu Päikesepark 2

14497659

20% - 6 390.00 EUR - - Founder

Osaühing Pärnu Päikesepark 3

14497843

20% - 6 390.00 EUR - - Founder

Osaühing Pärnu Päikesepark 1

14494632

20% - 6 390.00 EUR - - Founder

OÜ Pürolüüsitehas

14497346

100% - 2 500.00 EUR - - Founder

Parox Energy OÜ

14737514

- - - Founder

Financial info

2019
23.05.2020
2020
18.05.2021
2021
18.05.2022
2022
11.05.2023
2023
24.05.2024
Total Revenue 4 979 120 € 4 434 725 € 4 219 392 € 4 640 135 € 4 708 122 €
Net profit (loss) for the period 239 309 € 539 118 € 173 679 € 63 539 € 505 730 €
Profit Margin 5% 12% 4% 1% 11%
Current Assets 1 453 161 € 1 178 821 € 1 245 781 € 1 167 845 € 1 945 204 €
Fixed Assets 8 727 872 € 8 538 455 € 8 049 969 € 7 873 942 € 7 515 119 €
Total Assets 10 181 033 € 9 717 276 € 9 295 750 € 9 041 787 € 9 460 323 €
Current Liabilities 1 443 724 € 1 614 344 € 1 363 476 € 925 468 € 946 169 €
Non Current Liabilities 2 035 579 € 1 391 946 € 1 047 609 € 1 268 115 € 1 160 220 €
Total Liabilities 3 479 303 € 3 006 290 € 2 411 085 € 2 193 583 € 2 106 389 €
Share Capital - - - - -
Equity 6 701 730 € 6 710 986 € 6 884 665 € 6 848 204 € 7 353 934 €
Employees 79 79 69 76 70

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 863 426.24 € 209 288.38 € 137 843.07 € 68
2023 Q4 1 192 589.3 € 248 007.7 € 138 041.65 € 70
2023 Q3 1 343 490.38 € 341 993.6 € 142 648.52 € 69
2023 Q2 1 170 973.21 € 292 395.19 € 134 506.59 € 69
2023 Q1 848 077.01 € 179 328.31 € 131 999.18 € 71
2022 Q4 1 206 482.37 € 292 656.33 € 136 117.11 € 71
2022 Q3 1 350 598.23 € 321 784.72 € 134 708.77 € 71
2022 Q2 1 084 973.94 € 205 511.21 € 124 173.01 € 72
2022 Q1 789 080.8 € 172 627.56 € 118 502.88 € 68
2021 Q4 1 145 724.72 € 248 388.38 € 115 913.44 € 70
2021 Q3 1 254 137.83 € 290 082.11 € 123 665.19 € 65
2021 Q2 1 044 688.83 € 257 875.53 € 122 621.15 € 64
2021 Q1 816 947.11 € 196 499.9 € 117 116.08 € 78
2020 Q4 1 277 511.1 € 260 013.79 € 119 402.08 € 76
2020 Q3 1 192 859.52 € 291 831.19 € 122 204.2 € 74
2020 Q2 1 033 335.2 € 196 800.5 € 107 156.22 € 76
2020 Q1 893 277.27 € 212 675.54 € 115 042.64 € 76