De Visu OÜ

11666392

Company info

De Visu OÜ

11666392

Maarahvapood | Isetegemise rõõm | Laia valikuga aianduse e-poodhttps://www.maarahvapood.eeMaarahvapood | Isetegemise rõõm | Laia valikuga aianduse e-pood

Ainuke e-pood Eestis, mis katab kõik maainimese neli hooaega, et innustada isetegemist. Tooted nii aianduse, hoidistamise kui ka käsitsivalmistamise alalt.

General info

Name

De Visu OÜ

Registry code

11666392

VAT number

EE101313683

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

08.06.2009 (15)

Financial year

01.01-31.12

Capital

2 556.00 €

Activity

4791 - Retail sale via mail order houses or via Internet 4776 - Retail sale of flowers, plants, seeds, fertilisers, pet animals and pet food in specialised stores 01301 - Plant propagation 17291 - Manufacture of other articles of paper and paperboard

Revenue

1 599 525 €

Profit

11 363 €

Profit margin

1%

Gross salary

1 349 €

(estimate is approximate)

Equity

290 306 €

Employees

22

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

4%

Return on assets

1%

Related parties

Owner Representative Beneficial owner Roles

Teet Soasepp

27.08.1992 (32)

25% - 639.00 EUR Board member Member of a higher management body, i.e. board member or supervisory board member

Mait Soasepp

31.03.1970 (54)

75% - 1 917.00 EUR Board member Direct ownership

Külli Soasepp

11.02.1970 (54)

- Board member -

Financial info

2019
28.05.2020
2020
26.05.2021
2021
25.08.2022
2022
02.10.2023
2023
11.06.2024
Total Revenue 1 162 288 € 2 013 406 € 1 355 032 € 1 560 277 € 1 599 525 €
Net profit (loss) for the period 56 743 € 101 570 € 66 078 € 63 493 € 11 363 €
Profit Margin 5% 5% 5% 4% 1%
Current Assets 414 896 € 432 097 € 503 659 € 497 131 € 575 915 €
Fixed Assets 281 934 € 357 254 € 391 434 € 532 804 € 468 119 €
Total Assets 696 830 € 789 351 € 895 093 € 1 029 935 € 1 044 034 €
Current Liabilities 239 080 € 106 908 € 140 798 € 211 828 € 274 298 €
Non Current Liabilities 164 948 € 373 071 € 438 845 € 539 164 € 479 430 €
Total Liabilities 404 028 € 479 979 € 579 643 € 750 992 € 753 728 €
Share Capital - - - - -
Equity 292 802 € 309 372 € 315 450 € 278 943 € 290 306 €
Employees 28 24 24 23 22

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 310 070.05 € 56 739.39 € 37 634.42 € 27
2023 Q4 250 867.44 € 42 196.98 € 33 953.53 € 25
2023 Q3 310 512.71 € 44 227.08 € 38 381.34 € 25
2023 Q2 591 629.14 € 65 426.08 € 40 905.65 € 28
2023 Q1 306 889.43 € 52 332.95 € 36 691.1 € 27
2022 Q4 408 291.53 € 54 887.04 € 42 238.97 € 25
2022 Q3 254 887.82 € 46 852.09 € 44 383.77 € 28
2022 Q2 638 771.4 € 56 526.05 € 36 755.84 € 30
2022 Q1 268 417.69 € 37 485.24 € 30 930.3 € 29
2021 Q4 225 480.43 € 36 778.37 € 32 249.19 € 27
2021 Q3 271 472.08 € 49 933.05 € 38 444.55 € 29
2021 Q2 670 609.11 € 74 317.67 € 34 458.49 € 31
2021 Q1 215 844.25 € 32 987.7 € 27 604.81 € 30
2020 Q4 502 461.97 € 59 850.39 € 31 532.01 € 28
2020 Q3 732 062.66 € 91 708.1 € 40 315.66 € 33
2020 Q2 659 802.31 € 84 560.19 € 38 303.86 € 42
2020 Q1 135 798.05 € 33 578.1 € 18 510.35 € 40