Gersen Osaühing

10973123

Company info

Gersen Osaühing

10973123

Gersen OÜ - Avalehekülghttp://www.gersen.eeGersen OÜ - Avalehekülg

Kinnisvara halduritena, maja või korteri omanikena või kasutajatena soovite, et Teie käsutuses olev kinnisvara teeniks teid kaua ning tema süsteemid toimiksid tõrgeteta.Gersen OÜ ja tema partnerid saavad Teid siinkohal aidata. Omame õiguseid teostada elektripaigaldise käitu, automaatsete tulekahjusignalisatsioonisüsteemide, fonosüsteemide, valve- ja videosüsteemide, sprinklersüsteemide ja suitsuäratussüsteemide paigaldamist ja hooldust

General info

Name

Gersen Osaühing

Registry code

10973123

VAT number

EE101209137

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

17.09.2003 (21)

Financial year

01.01-31.12

Capital

3 004.00 €

Activity

68201 - Rental and operating of own or leased real estate 77321 - Rental and leasing of construction and civil engineering machinery and equipment 43211 - Installation of electrical wiring and fittings

Revenue

543 264 €

Profit

89 223 €

Profit margin

16%

Gross salary

1 750 €

(estimate is approximate)

Equity

538 721 €

Employees

5

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

17%

Return on assets

12%

Related parties

Owner Representative Beneficial owner Roles

Egon Luik

16.05.1973 (51)

50% - 1 502.00 EUR Board member Direct ownership

Gersen Osaühing

10973123

50% - 1 502.00 EUR - -

Kadri Nõu

25.10.1974 (50)

- - - Founder

Related companies

Owner Representative Beneficial owner Roles

Gersen Osaühing

10973123

50% - 1 502.00 EUR - -

Financial info

2019
29.04.2020
2020
30.03.2021
2021
30.06.2022
2022
14.06.2023
2023
10.06.2024
Total Revenue 596 753 € 453 162 € 538 810 € 631 865 € 543 264 €
Net profit (loss) for the period 23 206 € 34 273 € 156 826 € 115 540 € 89 223 €
Profit Margin 4% 8% 29% 18% 16%
Current Assets 98 337 € 40 335 € 69 377 € 38 727 € 46 961 €
Fixed Assets 173 678 € 351 449 € 346 502 € 547 905 € 673 169 €
Total Assets 272 015 € 391 784 € 415 879 € 586 632 € 720 130 €
Current Liabilities 37 956 € 70 977 € 35 221 € 67 497 € 84 798 €
Non Current Liabilities 0 € 52 475 € 0 € 69 637 € 96 611 €
Total Liabilities - 123 452 € - 137 134 € 181 409 €
Share Capital - - - - -
Equity 234 059 € 268 332 € 380 658 € 449 498 € 538 721 €
Employees 5 5 4 5 5

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 145 984.7 € 34 359.35 € 16 827.72 € 4
2023 Q4 181 429.82 € 22 486.95 € 14 425.26 € 6
2023 Q3 156 638.59 € 25 469.58 € 13 276.02 € 6
2023 Q2 93 681.91 € 16 428.06 € 12 233.83 € 5
2023 Q1 122 012.19 € 22 884.32 € 12 802.15 € 5
2022 Q4 179 420.6 € 25 120.36 € 11 566.93 € 5
2022 Q3 183 250.01 € 19 239.89 € 12 953.65 € 5
2022 Q2 133 975.66 € 27 086.99 € 13 591.4 € 5
2022 Q1 152 014.85 € 22 685.73 € 10 117.65 € 5
2021 Q4 137 532.04 € 17 759.8 € 7 923.98 € 4
2021 Q3 139 149.08 € 21 645.35 € 10 201.79 € 4
2021 Q2 132 130.47 € 17 538.04 € 11 349.36 € 4
2021 Q1 109 608.45 € 13 944.51 € 7 468.22 € 4
2020 Q4 118 070.54 € 22 003.88 € 12 211.17 € 5
2020 Q3 99 229.52 € 9 457.46 € 1 313.08 € 6
2020 Q2 107 055.67 € 13 867.55 € 6 418.51 € 5
2020 Q1 124 180.79 € 21 541.27 € 9 210.32 € 5