AS E-Piim Tootmine

12131598

General info

Name

AS E-Piim Tootmine

Registry code

12131598

VAT number

EE101498773

Type

AS - Joint Stock Company

Status

Registered

Foundation date

08.07.2011 (13)

Financial year

01.01-31.12

Capital

4 152 790.00 €

Activity

10512 - Manufacture of cheese and curd 10519 - Manufacture of other dairy products, incl. butter

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

Piiratud Vastutusega SCE E-Piim

14922341

91% - 3 024 240.00 EUR - - Shareholder

Jaanus Murakas

25.02.1968 (56)

- Board member - Founder

Merily Turjakas

08.01.1987 (37)

- Board member -

Sulev Mölder

13.10.1961 (63)

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

Ago Kirsipuu

07.10.1965 (59)

- - - Board member

Amar Marran

05.08.1962 (62)

- - - Board member

Erkki Freibach

18.06.1984 (40)

- - - Board member

Jaan Parve

24.06.1958 (66)

- - - Board member

Jaanus Kiisk

22.04.1972 (52)

- - - Board member

Karmo Põder

31.01.1980 (44)

- - - Board member

Peep Puna

23.09.1951 (73)

- - - Board member

Teet Kallakmaa

24.02.1965 (59)

- - - Board member

Related companies

Owner Representative Beneficial owner Roles

OÜ E-Piim Transport

11318751

80% - 513 340.00 EUR - -

BioCC OÜ

11077336

23% - 1 356.00 EUR - -

Piimaklaster MTÜ

80391546

- - - Founder (without contribution)

Tulundusühistu Eesti Ühistukapital

12989447

- - - Founder

Financial info

2019
19.10.2020
2020
26.07.2021
2021
15.07.2022
2022
05.07.2023
Total Revenue 49 129 236 € 52 352 790 € 54 447 322 € 77 748 254 €
Net profit (loss) for the period 1 269 146 € 447 691 € 1 174 639 € 6 953 944 €
Profit Margin 3% 1% 2% 9%
Current Assets 12 309 884 € 11 022 353 € 12 732 910 € 21 146 018 €
Fixed Assets 26 225 378 € 26 550 110 € 44 399 788 € 124 214 675 €
Total Assets 38 535 262 € 37 572 463 € 57 132 698 € 145 360 693 €
Current Liabilities 9 685 923 € 10 135 866 € 31 411 212 € 16 209 583 €
Non Current Liabilities 6 760 081 € 6 088 679 € 5 724 209 € 93 438 694 €
Total Liabilities 16 446 004 € 16 224 545 € 37 135 421 € 109 648 277 €
Share Capital 3 115 010 € 3 115 010 € 3 115 010 € 4 152 790 €
Equity 22 089 258 € 21 347 918 € 19 997 277 € 35 712 416 €
Employees 195 191 186 179

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 32 725 527.94 € - 669 013.95 € 220
2023 Q4 25 124 205.98 € - 556 076.78 € 218
2023 Q3 19 259 913.66 € - 522 666.75 € 213
2023 Q2 25 215 013.34 € - 434 286.25 € 195
2023 Q1 21 518 571.81 € - 466 871.32 € 188
2022 Q4 27 571 374.93 € - 392 517.61 € 195
2022 Q3 28 738 239.76 € - 394 430.91 € 174
2022 Q2 24 185 345.92 € - 354 835.03 € 166
2022 Q1 24 165 537.83 € - 351 353.01 € 173
2021 Q4 17 265 631.35 € - 313 645.7 € 172
2021 Q3 17 375 027.7 € - 331 315 € 172
2021 Q2 17 465 695.05 € - 332 875.84 € 169
2021 Q1 13 711 287.62 € - 350 714.6 € 192
2020 Q4 16 104 566.9 € - 327 698.98 € 192
2020 Q3 15 892 551.91 € - 343 944.95 € 197
2020 Q2 15 530 448.01 € - 312 319.92 € 195
2020 Q1 13 900 036.42 € - 324 620.68 € 188