TATKRAFT AS

12230076

Company info

TATKRAFT AS

12230076

Tatkraft B2B Online Shop: Worldwide Shippinghttps://www.tatkraft.eeTatkraft B2B Online Shop: Worldwide Shipping

Tatkraft Clothes Rails, Clothes Rail Covers, Laptop Desks, Laptop Tables, Step Ladders, Clothes Drying Racks, Clothes Airers, Towel Holders, Shower Mats

General info

Name

TATKRAFT AS

Registry code

12230076

VAT number

EE101534527

Type

AS - Joint Stock Company

Status

Registered

Foundation date

03.02.2012 (12)

Financial year

01.01-31.12

Capital

3 300 000.00 €

Activity

4791 - Retail sale via mail order houses or via Internet 46499 - Wholesale of household goods, n.e.c.

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

Viking Beard OÜ

14101319

20% - 660 000.00 EUR - - Shareholder

Golden Capital Group OÜ

12154174

10% - 330 000.00 EUR - - Shareholder

Bully Invest OÜ

14545128

60% - 1 980 000.00 EUR - - Shareholder

Anna Gurevich

14.03.1986 (38)

- Board member -

Ekaterina Barbanova

23.01.1991 (33)

- Board member -

Fedor Barbanov

09.11.1964 (59)

- Board member -

Vadim Ivanov

20.05.1957 (67)

- - Indirect ownership Chairman of the board

Nikolay Barbanov

08.06.1989 (35)

- - - Board member

Mart Opmann

27.03.1956 (68)

- - - Board member

Oleg Laidinen

24.12.1980 (43)

- - - Board member

Swen Uusjärv

08.05.1977 (47)

- - - Board member

Financial info

2019
20.10.2020
2020
21.09.2021
2021
24.01.2023
2022
30.06.2023
Total Revenue 5 701 398 € 6 894 187 € 8 459 035 € 6 422 749 €
Net profit (loss) for the period -478 126 € 25 042 € -302 923 € -841 635 €
Profit Margin -8% 0% -4% -13%
Current Assets 2 663 973 € 2 886 067 € 3 482 650 € 2 533 492 €
Fixed Assets 2 862 948 € 2 875 554 € 2 862 841 € 325 490 €
Total Assets 5 526 921 € 5 761 621 € 6 345 491 € 2 858 982 €
Current Liabilities 1 792 936 € 2 075 423 € 2 991 060 € 889 440 €
Non Current Liabilities 694 030 € 621 201 € 592 357 € 49 103 €
Total Liabilities 2 486 966 € 2 696 624 € 3 583 417 € 938 543 €
Share Capital 3 300 000 € 3 300 000 € 3 300 000 € 3 300 000 €
Equity 3 039 955 € 3 064 997 € 2 762 074 € 1 920 439 €
Employees 25 22 32 28

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 637 719.26 € 90 730.11 € 77 693.1 € 15
2023 Q4 581 923.44 € - 74 460.79 € 15
2023 Q3 842 271.49 € 94 748.01 € 73 681.03 € 15
2023 Q2 769 279.91 € 100 847.44 € 71 739.94 € 14
2023 Q1 746 062 € 91 551.48 € 65 912.29 € 14
2022 Q4 1 074 209.29 € 101 151.33 € 67 231.11 € 14
2022 Q3 983 891.55 € 117 366.91 € 52 452.39 € 13
2022 Q2 826 713.93 € 85 336.54 € 55 218.81 € 13
2022 Q1 1 094 589.24 € 131 172.69 € 93 492.68 € 12
2021 Q4 1 487 237.03 € 187 810.96 € 95 415.66 € 20
2021 Q3 979 942.93 € 206 166.86 € 123 332.39 € 21
2021 Q2 1 562 614.82 € 155 951.72 € 113 212.96 € 24
2021 Q1 1 272 308.7 € 168 760.95 € 101 858.79 € 28
2020 Q4 1 638 277.93 € 153 189.47 € 92 338.89 € 25
2020 Q3 1 455 759.57 € 147 343.39 € 82 861.69 € 22
2020 Q2 1 371 168.49 € 161 196.3 € 82 102.35 € 21
2020 Q1 1 060 963.69 € 120 395.6 € 69 978.69 € 21