OÜ Kliinik32

11400814

Company info

OÜ Kliinik32

11400814

Kliinik32https://kliinik32.eeKliinik32

Hambaravikeskuses Kliinik 32 leiame ravilahenduse igale suumurele. Koolitatud hambaarstid ja kaasaegne tehnoloogia teevad meist hinnatud hambaravi kliiniku.

General info

Name

OÜ Kliinik32

Registry code

11400814

VAT number

EE101178433

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

03.07.2007 (17)

Financial year

01.01-31.12

Capital

4 000.00 €

Activity

86231 - Provision of dental treatment

Revenue

5 971 050 €

Profit

241 581 €

Profit margin

4%

Gross salary

4 899 €

(estimate is approximate)

Equity

245 981 €

Employees

41

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

98%

Return on assets

17%

Related parties

Owner Representative Beneficial owner Roles

Lauri Vahtra

27.02.1968 (56)

22% - 880.00 EUR - Direct ownership

Anton Garajev

03.05.1980 (44)

13% - 528.00 EUR - Direct ownership

Kirsten Nigul

05.01.1975 (49)

13% - 528.00 EUR - Direct ownership

Piret Väli

12.01.1964 (60)

13% - 528.00 EUR - Direct ownership

Reet Pallase

19.03.1977 (47)

13% - 528.00 EUR - Direct ownership

Triin Lindma

09.06.1975 (49)

13% - 528.00 EUR - Direct ownership

Laura Aluoja

16.09.1980 (44)

6% - 240.00 EUR - Direct ownership

Martin Martma

18.05.1982 (42)

6% - 240.00 EUR - Direct ownership

Brit Pensa

07.03.1981 (43)

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

Omanikukonto: TARVO LINDMA

17.12.1974 (49)

- - - Founder

Related companies

Owner Representative Beneficial owner Roles

OÜ Kliinik32 Labor

11467735

70% - 2 800.00 EUR - - Founder

OÜ Kliinik32 3D

11533656

100% - 2 557.00 EUR - - Founder

Mittetulundusühing Eesti Meditsiiniekspordi Klaster

80398850

- - - Founder (without contribution)

Financial info

2019
25.06.2020
2020
27.06.2021
2021
27.06.2022
2022
20.06.2023
2023
28.06.2024
Total Revenue 4 221 839 € 3 879 180 € 4 602 837 € 5 187 923 € 5 971 050 €
Net profit (loss) for the period 222 988 € 213 797 € 188 263 € 71 156 € 241 581 €
Profit Margin 5% 6% 4% 1% 4%
Current Assets 584 304 € 716 282 € 570 009 € 590 747 € 489 376 €
Fixed Assets 252 850 € 206 003 € 139 692 € 236 778 € 926 928 €
Total Assets 837 154 € 922 285 € 709 701 € 827 525 € 1 416 304 €
Current Liabilities 566 551 € 683 203 € 517 038 € 691 753 € 1 023 436 €
Non Current Liabilities 43 215 € 20 885 € 0 € 60 216 € 146 887 €
Total Liabilities 609 766 € 704 088 € - 751 969 € 1 170 323 €
Share Capital - - - - -
Equity 227 388 € 218 197 € 192 663 € 75 556 € 245 981 €
Employees 47 49 39 37 41

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 23 296.3 € 360 088.74 € 372 681 € 46
2023 Q4 28 036.8 € 280 893.28 € 300 200.91 € 44
2023 Q3 25 476.61 € 389 759.46 € 416 692.78 € 45
2023 Q2 26 461.31 € 248 077.56 € 263 879.79 € 43
2023 Q1 47 130.73 € 339 594.12 € 357 106.85 € 43
2022 Q4 27 913.06 € 281 059.37 € 264 834.46 € 44
2022 Q3 18 789.74 € 368 837.8 € 395 216.65 € 44
2022 Q2 16 740.73 € 215 448.42 € 229 995.09 € 45
2022 Q1 13 239 € 296 226.1 € 317 293.74 € 45
2021 Q4 22 712.74 € 236 714.09 € 208 307.13 € 48
2021 Q3 21 983.59 € 304 021.35 € 326 044.36 € 46
2021 Q2 24 137.19 € 192 230.39 € 204 158.98 € 51
2021 Q1 19 697.27 € 324 970.51 € 294 346.34 € 47
2020 Q4 33 857.26 € 195 922.76 € 205 748.05 € 47
2020 Q3 25 773.82 € 254 512.64 € 270 262.37 € 44
2020 Q2 18 419.39 € 46 894.08 € 51 754.73 € 42
2020 Q1 13 951.73 € 229 562.66 € 246 054.51 € 41