Address
Email address
Phone number
Tarbijal on üha enam valikuid, mistõttu brändi tuntus ei ole enam esimene valikute kriteerium – selleks on brändide meeldivus, isegi armastus. Et luua tõeliselt tugev side brändi ja tarbija vahel, on esmatähtis tarbija kultuuriliste väärtushinnangute mõistmine.
Name
OÜ Playground Advertising
Registry code
11609968
VAT number
EE101357775
Type
OÜ - Limited Liability Company
Status
Registered
Foundation date
12.03.2009 (15)
Financial year
01.01-31.12
Capital
12 775.00 €
Activity
6420 - Activities of holding companies 73121 - Media representation
-
-
-
-
-
-
Not submitted
No tax arrears
-
-
Owner | Representative | Beneficial owner | Roles | |
---|---|---|---|---|
OÜ ET Consult 11545607 | 10% - 1 278.00 EUR | - | - | Founder |
osaühing HK Valdus 11471731 | 90% - 11 497.00 EUR | - | - | Founder |
Heiki Koitla 16.05.1969 (55) | - | Board member | Member of a higher management body, i.e. board member or supervisory board member | |
Erko Täht 17.07.1975 (49) | - | - | Member of a higher management body, i.e. board member or supervisory board member | |
Omanikukonto: KATRIN KAASIK 08.02.1944 (80) | - | - | - | Auditor who has assessed non-monetary contribution |
Owner | Representative | Beneficial owner | Roles | |
---|---|---|---|---|
Osaühing Initiative 10459952 | 85% - 2 172.00 EUR | - | - | |
Target Master OÜ 12280921 | 50% - 1 300.00 EUR | - | - |
2019 19.11.2020 | 2020 26.08.2021 | 2021 05.11.2022 | 2022 24.10.2023 | |
---|---|---|---|---|
Total Revenue | 29 007 436 € | 24 127 569 € | 39 545 080 € | 63 219 708 € |
Net profit (loss) for the period | 3 282 769 € | 1 977 983 € | 2 831 381 € | 1 518 309 € |
Profit Margin | 11% | 8% | 7% | 2% |
Current Assets | 9 848 959 € | 11 395 959 € | 15 013 353 € | 19 593 515 € |
Fixed Assets | 825 451 € | 755 104 € | 2 303 977 € | 2 194 901 € |
Total Assets | 10 674 410 € | 12 151 063 € | 17 317 330 € | 21 788 416 € |
Current Liabilities | 5 167 525 € | 5 498 450 € | 8 696 714 € | 12 472 215 € |
Non Current Liabilities | 10 119 € | 0 € | 31 958 € | 31 726 € |
Total Liabilities | 5 177 644 € | - | 8 728 672 € | 12 503 941 € |
Share Capital | - | - | - | - |
Equity | 5 496 766 € | 6 652 613 € | 8 588 658 € | 9 284 475 € |
Employees | 82 | 85 | 95 | 148 |
Turnover | State taxes | Labor taxes and payments | Employees | |
---|---|---|---|---|
2024 Q1 | 3 087 694.76 € | 20 944.54 € | 18 004 € | 2 |
2023 Q4 | 2 380 416.58 € | - | 15 762.18 € | 2 |
2023 Q3 | 986 594.96 € | 27 133.15 € | 15 762.18 € | 2 |
2023 Q2 | 776 967.62 € | 23 349.56 € | 15 864.06 € | 2 |
2023 Q1 | 2 535 428.86 € | 27 382.91 € | 18 178.85 € | 2 |
2022 Q4 | 2 146 136.94 € | 28 831.15 € | 15 803.69 € | 2 |
2022 Q3 | 830 637.8 € | 17 218.52 € | 15 803.71 € | 2 |
2022 Q2 | 922 097.02 € | 16 555.16 € | 15 869.68 € | 2 |
2022 Q1 | 2 557 446.12 € | 58 718.83 € | 17 225.17 € | 2 |
2021 Q4 | 1 445 638.17 € | 15 497.97 € | 14 783.46 € | 2 |
2021 Q3 | 723 545 € | 19 980.41 € | 12 118.52 € | 2 |
2021 Q2 | 695 855.62 € | 10 288.35 € | 9 193.24 € | 2 |
2021 Q1 | 1 864 843.23 € | 47 072.98 € | 11 437.19 € | 3 |
2020 Q4 | 1 742 297.49 € | 14 053.34 € | 10 303.59 € | 3 |
2020 Q3 | 792 305.28 € | 18 088.06 € | 10 303.59 € | 3 |
2020 Q2 | 555 366.1 € | 11 902.71 € | 9 556.51 € | 3 |
2020 Q1 | 1 819 935.39 € | 55 898.99 € | 11 361.17 € | 3 |