OÜ Maurus Kirjastus

12006031

Company info

OÜ Maurus Kirjastus

12006031

MAURUS | Õppematerjalide kirjastushttps://www.kirjastusmaurus.eeMAURUS | Õppematerjalide kirjastus

Kaasaegsed õppematerjalid, mis annavad lisaks faktiteadmistele võimaluse kaasa mõelda, tekitavad uudishimu ja soovi rohkem teada saada.

General info

Name

OÜ Maurus Kirjastus

Registry code

12006031

VAT number

EE101410777

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

13.10.2010 (14)

Financial year

01.01-31.12

Capital

2 567.00 €

Activity

58112 - Publishing of textbooks, dictionaries and other encyclopaedias

Revenue

1 201 184 €

Profit

71 328 €

Profit margin

6%

Gross salary

1 912 €

(estimate is approximate)

Equity

110 379 €

Employees

15

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

65%

Return on assets

7%

Related parties

Owner Representative Beneficial owner Roles

OÜ Latnesor

16860845

20% - 513.50 EUR - -

Osaühing Lavigo

10707611

10% - 256.80 EUR - -

OÜ Proosa Press

11536844

10% - 256.70 EUR - -

Menu Meedia OÜ

11544163

60% - 1 540.00 EUR - -

Jaan Rosental

07.06.1976 (48)

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

Ain Lausmaa

14.07.1974 (50)

- - Indirect ownership Chairman of the board

Janari Lage

20.09.1974 (50)

- - Indirect ownership

Priit Maide

08.04.1963 (61)

- - - Board member

Urmas Niine

18.01.1974 (50)

- - - Board member

Related companies

Owner Representative Beneficial owner Roles

Taskutark OÜ

12504007

60% - 1 504.00 EUR - -

Financial info

2019
31.03.2020
2020
22.06.2021
2021
28.06.2022
2022
30.06.2023
2023
30.06.2024
Total Revenue 695 915 € 745 880 € 809 250 € 1 021 756 € 1 201 184 €
Net profit (loss) for the period 44 356 € 100 446 € 81 376 € 101 169 € 71 328 €
Profit Margin 6% 13% 10% 10% 6%
Current Assets 489 452 € 562 372 € 616 417 € 809 595 € 949 985 €
Fixed Assets 4 043 € 39 088 € 58 912 € 60 506 € 59 523 €
Total Assets 493 495 € 601 460 € 675 329 € 870 101 € 1 009 508 €
Current Liabilities 307 086 € 288 981 € 211 569 € 250 939 € 580 210 €
Non Current Liabilities 149 040 € 174 664 € 244 569 € 298 802 € 318 919 €
Total Liabilities 456 126 € 463 645 € 456 138 € 549 741 € 899 129 €
Share Capital - - - - -
Equity 37 369 € 137 815 € 219 191 € 320 360 € 110 379 €
Employees 10 7 13 15 15

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 289 360.27 € 72 768.97 € 70 787.69 € 19
2023 Q4 244 467.3 € 67 332.7 € 60 984.56 € 19
2023 Q3 327 738.71 € 68 941.78 € 62 534.18 € 18
2023 Q2 367 034.54 € 73 039.07 € 59 996.09 € 18
2023 Q1 276 019.62 € 59 092.91 € 56 176.04 € 18
2022 Q4 182 930.22 € 45 532.81 € 48 425.97 € 18
2022 Q3 258 147.78 € 72 009.27 € 66 314.09 € 19
2022 Q2 342 173.27 € 54 357.27 € 48 118.94 € 19
2022 Q1 241 306.83 € 42 888.74 € 39 918.08 € 17
2021 Q4 126 888.87 € 39 913.31 € 39 968.65 € 18
2021 Q3 238 036.32 € 54 846.45 € 45 788.41 € 18
2021 Q2 232 935.59 € 37 585.06 € 33 146.78 € 22
2021 Q1 175 203.17 € 29 941.96 € 30 386.85 € 16
2020 Q4 161 827.84 € 22 440.58 € 18 463.8 € 13
2020 Q3 286 815.43 € 36 024.27 € 17 265.89 € 13
2020 Q2 181 158.47 € 20 974.88 € 13 676.13 € 12
2020 Q1 154 195.43 € 30 447.37 € 24 752.72 € 11