osaühing Pähkla Vähi- ja Kalakasvatus

11060436

Company info

osaühing Pähkla Vähi- ja Kalakasvatus

11060436

Pähkla vähi- ja kalakasvatus OÜhttps://pahkla.eePähkla vähi- ja kalakasvatus OÜ

Pähkla kalakasvatustiikides kasvatame kodumaist vikerforelli, karpkala ja jõevähki. Valmistame oma kaladest erinevaid tooteid – roogitud, fileeritud, suitsutatud, maitsestatud ja pakendatud kala.

General info

Name

osaühing Pähkla Vähi- ja Kalakasvatus

Registry code

11060436

VAT number

EE100921322

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

03.09.2004 (20)

Financial year

01.01-31.12

Capital

2 600.00 €

Activity

43391 - Other building completion and finishing 78301 - Other human resources provision 68201 - Rental and operating of own or leased real estate 49411 - Freight transport by road 77111 - Rental and leasing of cars and light motor vehicles 77121 - Rental and leasing of trucks 03221 - Freshwater aquaculture

Revenue

834 163 €

Profit

503 308 €

Profit margin

60%

Gross salary

1 380 €

(estimate is approximate)

Equity

1 567 141 €

Employees

7

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

32%

Return on assets

28%

Related parties

Owner Representative Beneficial owner Roles

Toivo Leivat

08.12.1972 (51)

17% - 430.00 EUR - - Founder

Gaido Kelder

07.01.1973 (51)

17% - 430.00 EUR - -

Taneli Leivat

29.08.1974 (50)

67% - 1 740.00 EUR Board member Direct ownership

Related companies

Owner Representative Beneficial owner Roles

Eesti Vesiviljelusühistu

11293838

- - - Founder

Financial info

2019
23.07.2020
2020
27.03.2021
2021
15.03.2022
2022
06.02.2023
2023
27.03.2024
Total Revenue 402 347 € 371 553 € 617 354 € 981 603 € 834 163 €
Net profit (loss) for the period 104 132 € 40 330 € 82 665 € 358 726 € 503 308 €
Profit Margin 26% 11% 13% 37% 60%
Current Assets 565 197 € 623 187 € 665 685 € 725 504 € 940 511 €
Fixed Assets 136 172 € 141 446 € 252 617 € 541 158 € 836 275 €
Total Assets 701 369 € 764 633 € 918 302 € 1 266 662 € 1 776 786 €
Current Liabilities 307 960 € 142 190 € 213 195 € 171 203 € 116 124 €
Non Current Liabilities 191 798 € 0 € - 31 626 € 93 521 €
Total Liabilities 499 758 € - - 202 829 € 209 645 €
Share Capital - - - - -
Equity 201 611 € 622 443 € 705 107 € 1 063 833 € 1 567 141 €
Employees 5 4 6 6 7

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 220 769.7 € 34 127.98 € 13 584.41 € 7
2023 Q4 203 606.99 € 20 969.45 € 14 568.2 € 7
2023 Q3 283 040.91 € 20 718.06 € 16 801.58 € 7
2023 Q2 166 293.28 € 1 455.08 € 12 147.96 € 9
2023 Q1 168 295.02 € 1 555.02 € 11 728.26 € 6
2022 Q4 283 955.46 € 26 054.17 € 10 696.95 € 5
2022 Q3 298 482.47 € 18 981.5 € 9 541.05 € 5
2022 Q2 195 450.29 € 4 000.17 € 14 094.96 € 5
2022 Q1 211 779.21 € 35 689.55 € 14 235.45 € 7
2021 Q4 143 827.69 € 1 898.99 € 12 935.76 € 8
2021 Q3 169 718.18 € 19 471.02 € 14 260.88 € 7
2021 Q2 147 607.73 € 18 891.72 € 9 743.31 € 7
2021 Q1 132 100.77 € 20 593.09 € 7 378.49 € 6
2020 Q4 95 025.83 € 11 311.92 € 7 122.2 € 4
2020 Q3 101 379.77 € 9 182.19 € 5 591.9 € 4
2020 Q2 68 605.08 € 7 330.62 € 6 083.92 € 4
2020 Q1 124 866.48 € 15 631.94 € 7 925.41 € 5