Shroomwell OÜ

12670125

Company info

Shroomwell OÜ

12670125

Shroomwell: Revolutionising wellness with mushroomshttps://shroomwell.comShroomwell: Revolutionising wellness with mushrooms

Shroomwell redefines wellness with premium mushroom products. Our range includes extracts, tinctures, sprays, drinks, and powders, featuring Lion's Mane, Cordyceps, Chaga, and Reishi. Embrace holistic health through potent, locally and sustainably sourced supplements that blend tradition with science.

General info

Name

Shroomwell OÜ

Registry code

12670125

VAT number

EE101722627

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

04.06.2014 (10)

Financial year

01.01-31.12

Capital

3 922.00 €

Activity

10891 - Manufacture of other food products n.e.c. 68201 - Rental and operating of own or leased real estate

Revenue

1 271 733 €

Profit

-2 624 727 €

Profit margin

-206%

Gross salary

2 424 €

(estimate is approximate)

Equity

3 986 399 €

Employees

19

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-66%

Return on assets

-20%

Related parties

Owner Representative Beneficial owner Roles

Shroomwell Group OÜ

16912401

88% - 3 463.00 EUR - -

Shroomwell OÜ

12670125

5% - 181.00 EUR - -

Siim Kabrits

04.07.1979 (45)

- Board member Direct ownership

Silver Laus

12.06.1983 (41)

- Board member -

Nordic Herbs OÜ

12663800

- - - Founder

Related companies

Owner Representative Beneficial owner Roles

BoostMe OÜ

12808581

100% - 6 881.00 EUR - -

Shroomwell Innovation OÜ

12933903

100% - 2 500.00 EUR - -

Shroomwell OÜ

12670125

5% - 181.00 EUR - -

Financial info

2019
07.08.2020
2020
29.06.2021
2021
01.11.2022
2022
10.07.2023
2023
10.06.2024
Total Revenue 580 945 € 1 423 396 € 3 560 883 € 3 252 952 € 1 271 733 €
Net profit (loss) for the period 59 045 € 185 873 € 1 442 300 € 1 228 673 € -2 624 727 €
Profit Margin 10% 13% 41% 38% -206%
Current Assets 294 887 € 963 572 € 3 545 477 € 4 532 875 € 4 737 138 €
Fixed Assets 542 474 € 617 483 € 5 967 253 € 8 697 478 € 8 078 020 €
Total Assets 837 361 € 1 581 055 € 9 512 730 € 13 230 353 € 12 815 158 €
Current Liabilities 311 642 € 322 848 € 293 503 € 3 423 140 € 4 742 119 €
Non Current Liabilities 67 469 € 51 354 € 4 181 368 € 3 471 185 € 4 086 640 €
Total Liabilities 379 111 € 374 202 € 4 474 871 € 6 894 325 € 8 828 759 €
Share Capital - - - - -
Equity 458 250 € 1 206 853 € 5 037 859 € 6 336 028 € 3 986 399 €
Employees 8 12 15 19 19

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 473 579.91 € - 35 904.17 € 20
2023 Q4 520 794.95 € 48 818.76 € 48 563.16 € 21
2023 Q3 241 712.33 € 38 539.55 € 40 992.54 € 19
2023 Q2 313 780.21 € 33 269.63 € 36 114.38 € 19
2023 Q1 642 933.04 € 89 214.87 € 40 500.05 € 14
2022 Q4 969 778.37 € 132 199.96 € 41 269.28 € 19
2022 Q3 702 637.09 € 110 244.09 € 52 938.45 € 17
2022 Q2 670 098.57 € 102 803.5 € 48 253.81 € 16
2022 Q1 1 022 458.66 € 125 281.96 € 40 539.67 € 18
2021 Q4 1 504 749.01 € 230 194.75 € 37 604.93 € 18
2021 Q3 944 958.1 € 165 283.92 € 29 253.09 € 15
2021 Q2 673 265.85 € 90 603.96 € 26 545.31 € 12
2021 Q1 555 156.01 € 82 788.82 € 22 465.73 € 14
2020 Q4 431 914.54 € 32 930.61 € 21 286.14 € 22
2020 Q3 128 695.74 € 17 646.34 € 18 016.39 € 14
2020 Q2 342 532.66 € 31 197.89 € 12 637.1 € 13
2020 Q1 267 163.29 € 19 832.41 € 6 412.03 € 9