AS Galv-Est

10949863

Company info

AS Galv-Est

10949863

Galv-Est - Kvaliteetne kuumtsinkimise teenushttps://galv-est.eeGalv-Est - Kvaliteetne kuumtsinkimise teenus

Baltimaade moodsaim ja võimsam kuumtsinkimistehas, kus on võimalik tsinkida suuri ja keerukaid teraskonstruktsioone kui ka väiksemaid ja lihtsamaid tooteid.

General info

Name

AS Galv-Est

Registry code

10949863

VAT number

EE100830125

Type

AS - Joint Stock Company

Status

Registered

Foundation date

09.05.2003 (21)

Financial year

01.01-31.12

Capital

600 000.00 €

Activity

82991 - Other business support service activities n.e.c. 25611 - Treatment and coating of metals

Revenue

7 690 110 €

Profit

1 067 347 €

Profit margin

14%

Gross salary

2 634 €

(estimate is approximate)

Equity

3 788 131 €

Employees

60

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

28%

Return on assets

24%

Related parties

Owner Representative Beneficial owner Roles

AS Maru

10037062

33% - 200 000.00 EUR - - FounderShareholder

Aktsiaselts FRELOK

10041520

33% - 200 000.00 EUR - - FounderShareholder

Aktsiaselts Viljandi Metall

10131766

33% - 200 000.00 EUR - - FounderShareholder

Indrek Vodja

20.09.1987 (36)

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

Andrei Sidorov

26.05.1961 (63)

- - Direct ownership Board member

Andrei Tšerkassov

06.11.1968 (55)

- - Direct ownership Board member

Andres Piiber

07.06.1961 (63)

- - Indirect ownership Board member

Heiki Laiverik

22.04.1960 (64)

- - Indirect ownership Board member

Peep Must

09.03.1953 (71)

- - Indirect ownership Board member

Jaak Sulg

06.03.1953 (71)

- - Indirect ownership Chairman of the board

Ain Laiverik

05.05.1963 (61)

- - Indirect ownership

Boriss Avdejev

03.09.1945 (79)

- - Indirect ownership

Lembit Pulk

12.12.1959 (64)

- - Indirect ownership

Financial info

2019
26.06.2020
2020
25.05.2021
2021
28.06.2022
2022
16.05.2023
2023
18.06.2024
Total Revenue 5 795 793 € 5 264 294 € 5 943 691 € 7 748 878 € 7 690 110 €
Net profit (loss) for the period 661 859 € 500 064 € 387 222 € 546 634 € 1 067 347 €
Profit Margin 11% 9% 7% 7% 14%
Current Assets 2 053 497 € 1 814 126 € 2 366 449 € 2 877 641 € 3 010 053 €
Fixed Assets 1 563 727 € 1 605 954 € 1 411 654 € 1 331 053 € 1 385 815 €
Total Assets 3 617 224 € 3 420 080 € 3 778 103 € 4 208 694 € 4 395 868 €
Current Liabilities 380 024 € 394 623 € 439 610 € 439 060 € 477 644 €
Non Current Liabilities 210 336 € 158 529 € 84 343 € 118 850 € 130 093 €
Total Liabilities 590 360 € 553 152 € 523 953 € 557 910 € 607 737 €
Share Capital 600 000 € 600 000 € 600 000 € 600 000 € 600 000 €
Equity 3 026 864 € 2 866 928 € 3 254 150 € 3 650 784 € 3 788 131 €
Employees 61 60 59 58 60

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 1 791 804.9 € 447 059.96 € 258 181.14 € 58
2023 Q4 2 787 037.51 € 685 111.36 € 272 161.51 € 61
2023 Q3 2 831 046.87 € 598 206.46 € 287 265.29 € 62
2023 Q2 2 258 391.78 € 594 008.21 € 210 619.59 € 57
2023 Q1 2 100 108.22 € 425 289.66 € 214 836.87 € 57
2022 Q4 3 005 287.8 € 535 092.11 € 219 335.97 € 58
2022 Q3 2 919 883.88 € 496 414.84 € 225 017.01 € 58
2022 Q2 2 874 893.11 € 492 884.57 € 201 786.72 € 56
2022 Q1 2 035 074.04 € 394 334.8 € 201 517.05 € 58
2021 Q4 2 246 284.83 € 434 399.62 € 198 832.49 € 59
2021 Q3 2 084 352.93 € 447 453.54 € 220 185.65 € 64
2021 Q2 2 078 295.64 € 438 329.6 € 197 398.48 € 68
2021 Q1 1 442 676.59 € 328 847.14 € 177 288.57 € 61
2020 Q4 1 773 622.91 € 488 774.69 € 167 966.18 € 58
2020 Q3 1 770 467.16 € 368 740.97 € 175 450.44 € 61
2020 Q2 1 862 590.46 € 415 487.74 € 181 186.34 € 57
2020 Q1 1 344 978.32 € 293 571.76 € 169 681.71 € 61