AS KaroTrans

10967341

General info

Name

AS KaroTrans

Registry code

10967341

VAT number

EE100845369

Type

AS - Joint Stock Company

Status

Registered

Foundation date

21.08.2003 (21)

Financial year

01.01-31.12

Capital

25 560.00 €

Activity

46901 - Non-specialised wholesale trade 49411 - Freight transport by road

Revenue

6 893 489 €

Profit

268 763 €

Profit margin

4%

Gross salary

2 646 €

(estimate is approximate)

Equity

1 173 065 €

Employees

48

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

23%

Return on assets

5%

Related parties

Owner Representative Beneficial owner Roles

Isilme OÜ

10869934

34% - 8 690.40 EUR - - FounderShareholder

Colindo OÜ

10869972

34% - 8 690.40 EUR - - FounderShareholder

Osaühing Rosliin

10967699

32% - 8 179.20 EUR - - Shareholder

Meelis Lippe

20.04.1968 (56)

- Board member Direct ownership

Meelis Rosenstein

16.02.1975 (49)

- Board member Direct ownership

Runo Ruubel

13.01.1960 (64)

- - Direct ownership Board member

Aino Tsupilo

21.05.1953 (71)

- - - Board member

osaühing Avameri

10869325

- - - Founder

Lumbar OÜ

10869986

- - - Founder

Aivar Kollamaa

23.07.1962 (62)

- - - Founder

Andrus Tammann

11.09.1968 (56)

- - - Founder

Anton Tsupilo

26.06.1951 (73)

- - - Founder

Arved Konstabel

23.01.1963 (61)

- - - Founder

Arvo Lelle

19.02.1950 (74)

- - - Founder

Juri Mohnja

26.11.1974 (49)

- - - Founder

Kaido Orav

18.07.1972 (52)

- - - Founder

Mihkel Jürjets

29.07.1963 (61)

- - - Founder

Märt Leesment

17.11.1967 (57)

- - - Founder

Olev Jämsa

20.08.1958 (66)

- - - Founder

Veiko Kruusmaa

05.11.1968 (56)

- - - Founder

Vello Järvekülg

03.09.1961 (63)

- - - Founder

Margus Riik

22.12.1970 (53)

- - - FounderBoard member

Financial info

2019
30.10.2020
2020
25.06.2021
2021
11.05.2022
2022
11.05.2023
2023
13.06.2024
Total Revenue 5 171 644 € 4 643 513 € 5 091 489 € 5 935 652 € 6 893 489 €
Net profit (loss) for the period 477 230 € 319 698 € 325 722 € 425 782 € 268 763 €
Profit Margin 9% 7% 6% 7% 4%
Current Assets 716 955 € 974 555 € 1 242 891 € 1 747 853 € 1 813 176 €
Fixed Assets 2 553 789 € 2 286 453 € 2 019 267 € 1 937 750 € 3 832 533 €
Total Assets 3 270 744 € 3 261 008 € 3 262 158 € 3 685 603 € 5 645 709 €
Current Liabilities 1 118 240 € 1 153 457 € 1 243 885 € 1 496 529 € 2 175 972 €
Non Current Liabilities 1 554 254 € 1 387 603 € 1 150 803 € 1 032 838 € 2 296 672 €
Total Liabilities 2 672 494 € 2 541 060 € 2 394 688 € 2 529 367 € 4 472 644 €
Share Capital 25 560 € 25 560 € 25 560 € 25 560 € 25 560 €
Equity 598 250 € 719 948 € 867 470 € 1 156 236 € 1 173 065 €
Employees 52 47 46 44 48

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 2 711 346.21 € 417 795.74 € 247 816.45 € 54
2023 Q4 2 530 578.12 € 271 791.12 € 229 050.95 € 55
2023 Q3 1 422 733.72 € 212 105.46 € 179 484.58 € 49
2023 Q2 1 425 767.83 € 374 908.38 € 175 905.62 € 41
2023 Q1 1 501 507.21 € 341 160.85 € 195 037.13 € 40
2022 Q4 1 836 496.44 € 314 366.56 € 195 782.03 € 40
2022 Q3 1 481 814.79 € 298 780.13 € 180 405.06 € 39
2022 Q2 1 589 437.13 € 368 460.54 € 174 007.64 € 38
2022 Q1 1 450 069.25 € 269 191.76 € 170 913.18 € 42
2021 Q4 1 556 114.33 € 351 728.37 € 175 157.04 € 42
2021 Q3 1 147 573.81 € 289 682.72 € 166 284.28 € 43
2021 Q2 1 313 117.17 € 352 291.52 € 153 388.54 € 42
2021 Q1 1 156 548 € 228 970.3 € 154 682.04 € 45
2020 Q4 1 381 266.81 € 309 896.63 € 169 366.71 € 47
2020 Q3 1 063 016.3 € 245 734.86 € 143 453.67 € 48
2020 Q2 1 358 914.5 € 211 037.28 € 143 941.94 € 47
2020 Q1 1 182 409.2 € 276 784.79 € 153 723.03 € 47