Fruit Xpress OÜ

11471375

Company info

Fruit Xpress OÜ

11471375

FruitXpress -  kõik toidukaubad otse koju! Värske ja kauasäiliv. Värske ja kauasäiliv.https://fruitxpress.eeFruitXpress - kõik toidukaubad otse koju! Värske ja kauasäiliv. Värske ja kauasäiliv.

Toome toidukaubad kulleriga koju! Püsivalikust leiad piimatooted, liha, kala, leiva, saia, puuviljad, juurviljad, kuivained, alkoholi. Lisaks esmatarbekaubad.

General info

Name

Fruit Xpress OÜ

Registry code

11471375

VAT number

EE101350167

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

21.02.2008 (16)

Financial year

01.07-30.06

Capital

2 700.00 €

Activity

49411 - Freight transport by road 46191 - Agents involved in the sale of a variety of goods 46311 - Wholesale of fruit and vegetables 46389 - Wholesale of food products n.e.c 46371 - Wholesale of coffee, tea, cocoa and spices 46321 - Wholesale of meat and meat products 46361 - Wholesale of sugar and chocolate and pastry and bakery products 46391 - Non-specialised wholesale of food, beverages and tobacco 46381 - Wholesale of fish, crustaceans and fish products 46331 - Wholesale of dairy products, eggs and edible oils and fats

Revenue

-

Profit

-

Profit margin

-

Gross salary

-

Equity

-

Employees

-

Annual report

Not submitted

Tax arrears

No tax arrears

Return on equity

-

Return on assets

-

Related parties

Owner Representative Beneficial owner Roles

Fruit Invest OÜ

12301238

15% - 405.00 EUR - -

Refras OÜ

12675447

5% - 135.00 EUR - -

Marko Ööman

21.01.1975 (49)

- Board member -

Financial info

2019
30.06.2020
2020
30.06.2021
2021
30.06.2022
2022
30.12.2023
Total Revenue 25 033 830 € 18 084 949 € 19 959 335 € 34 649 704 €
Net profit (loss) for the period 1 103 790 € 369 206 € 397 327 € 1 514 590 €
Profit Margin 4% 2% 2% 4%
Current Assets 4 327 152 € 3 559 719 € 4 482 480 € 5 908 551 €
Fixed Assets 616 593 € 559 760 € 523 489 € 422 113 €
Total Assets 4 943 745 € 4 119 479 € 5 005 969 € 6 330 664 €
Current Liabilities 2 773 187 € 2 181 023 € 3 114 255 € 4 405 554 €
Non Current Liabilities 155 774 € 154 466 € 125 398 € 68 938 €
Total Liabilities 2 928 961 € 2 335 489 € 3 239 653 € 4 474 492 €
Share Capital - - - -
Equity 2 014 784 € 1 783 990 € 1 766 316 € 1 856 172 €
Employees 105 87 85 92

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 12 196 307.33 € 1 338 256.55 € 310 789.14 € 113
2023 Q4 12 512 693.84 € 1 149 080.09 € 318 210.32 € 116
2023 Q3 14 941 606.33 € 1 359 372.85 € 327 575.91 € 109
2023 Q2 13 062 849.87 € 1 087 994.66 € 275 831.78 € 114
2023 Q1 10 773 327.64 € 1 288 884.76 € 267 308.63 € 109
2022 Q4 10 536 042.75 € 1 002 573.96 € 253 913.49 € 108
2022 Q3 12 981 948.56 € 1 054 252.75 € 273 923.6 € 111
2022 Q2 10 409 293.96 € 936 699.15 € 214 545.51 € 116
2022 Q1 8 117 773.56 € 831 867.09 € 198 326.29 € 98
2021 Q4 7 416 270.91 € 760 026.76 € 254 266.05 € 86
2021 Q3 9 405 580.49 € 847 207.72 € 178 543.54 € 89
2021 Q2 5 138 767.98 € 468 377.98 € 94 392.74 € 86
2021 Q1 5 052 360.42 € 665 701.1 € 227 611.11 € 73
2020 Q4 6 175 744.02 € 679 823.74 € 170 748.98 € 79
2020 Q3 7 643 816.72 € 731 659.15 € 115 250.04 € 85
2020 Q2 4 515 405.49 € 240 960.1 € 17 241.2 € 84
2020 Q1 8 329 402.91 € 680 382.71 € 230 310.22 € 97