Koriks-Fiiber OÜ

10959488

Company info

Koriks-Fiiber OÜ

10959488

Koriks-Fiiber OÜhttps://www.koriks.eeKoriks-Fiiber OÜ

Kümblustünnid otse tootjalt! Koriks-Fiiber OÜ on tegutsenud aastast 1976 ja meie kümblustünnid on enam kui 30 000 rahuloleval kliendil. Meie valikus on: erineva suuruse ja tegumoega kümblustünnid, kümblustünnid haagisel, minibassein ja 11000 liitrine bassein.

General info

Name

Koriks-Fiiber OÜ

Registry code

10959488

VAT number

EE100867745

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

24.07.2003 (21)

Financial year

01.01-31.12

Capital

2 556.00 €

Activity

25291 - Manufacture of other tanks, reservoirs and containers of metal 22211 - Manufacture of plastic plates, sheets, profiles, tubes, hoses, fittings, etc. 46771 - Wholesale of waste and scrap, buying up packaging and tare 49411 - Freight transport by road 47911 - Retail sale via mail order houses or via Internet 16232 - Manufacture of prefabricated wooden buildings (e.g. saunas, summerhouses, houses) or elements thereof 35141 - Trade of electricity

Revenue

2 180 140 €

Profit

17 000 €

Profit margin

1%

Gross salary

-

Equity

1 571 685 €

Employees

21

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

1%

Return on assets

1%

Related parties

Owner Representative Beneficial owner Roles

Allan Pilliroog

15.06.1977 (47)

50% - 1 278.00 EUR Board member Direct ownership

Markus Vähi

14.03.1981 (43)

50% - 1 278.00 EUR Board member Direct ownership

Hele Tarik

06.04.1942 (82)

- - - Founder

Jüri Kurvet

09.01.1935 (89)

- - - Founder

Related companies

Owner Representative Beneficial owner Roles

Kiili Kodu OÜ

10219490

100% - 3 000.00 EUR - -

Financial info

2019
21.07.2020
2020
21.04.2021
2021
23.05.2022
2022
12.06.2023
2023
22.05.2024
Total Revenue 2 600 668 € 3 185 436 € 3 332 301 € 2 928 398 € 2 180 140 €
Net profit (loss) for the period 213 371 € 352 505 € 70 435 € 26 606 € 17 000 €
Profit Margin 8% 11% 2% 1% 1%
Current Assets 623 574 € 948 450 € 610 253 € 513 335 € 403 525 €
Fixed Assets 1 156 416 € 1 098 789 € 1 552 780 € 1 541 307 € 1 606 273 €
Total Assets 1 779 990 € 2 047 239 € 2 163 033 € 2 054 642 € 2 009 798 €
Current Liabilities 292 221 € 436 458 € 408 337 € 286 399 € 282 947 €
Non Current Liabilities 153 435 € 69 625 € 191 134 € 195 278 € 155 166 €
Total Liabilities 445 656 € 506 083 € 599 471 € 481 677 € 438 113 €
Share Capital - - - - -
Equity 1 334 334 € 1 541 156 € 1 563 562 € 1 572 965 € 1 571 685 €
Employees 31 33 38 31 21

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 286 488.15 € 45 071.96 € 58 920.35 € 21
2023 Q4 652 143.8 € 54 632.34 € 55 745.97 € 21
2023 Q3 723 116.49 € 65 152.17 € 66 320.7 € 20
2023 Q2 771 968.98 € 59 758.22 € 61 049.02 € 22
2023 Q1 422 769.43 € 35 676.14 € 59 256.09 € 22
2022 Q4 649 344.01 € 95 611.24 € 95 739.55 € 22
2022 Q3 924 166.13 € 85 691.82 € 85 987.01 € 29
2022 Q2 984 427.81 € 111 204.98 € 112 237.47 € 31
2022 Q1 522 001.72 € 68 767.08 € 72 445.04 € 35
2021 Q4 741 061.68 € 88 406.23 € 91 941.37 € 35
2021 Q3 926 222.33 € 114 419.98 € 108 881.86 € 35
2021 Q2 1 318 924.55 € 100 411.53 € 103 073.49 € 37
2021 Q1 698 576.68 € 111 790.99 € 96 127.87 € 40
2020 Q4 952 509.12 € 82 735.71 € 86 076.75 € 36
2020 Q3 1 128 285.13 € 77 871.6 € 69 581.98 € 35
2020 Q2 684 722.88 € 49 912.96 € 51 250 € 32
2020 Q1 513 834.36 € 71 989.71 € 75 639.08 € 28