PEWELD OÜ

12821245

Company info

PEWELD OÜ

12821245

PEWELD OÜ – Peweld OÜ toodab polüetüleenist kaevusid, mahuteid ja muid eritooteidhttps://peweld.eePEWELD OÜ – Peweld OÜ toodab polüetüleenist kaevusid, mahuteid ja muid eritooteid

Polüetüleenist kaevud, pumplad, mahutid, erilahendused Meie tooted KAEVUD PUMPLAD MUUD TOOTED PEWELD OÜ on Eesti kapitalil põhinev ettevõte, mis tegeleb plastist kaevude tootmisega Pakume erinevaid kaevulahendusi. Meie tootevalikust leiab kanali-, sademevee-, drenaazi-, rest- ja erinevaid sõlmekaevusid. Lisaks kaevudele toodame plastist mahuteid, pontoone ja eritooteid vastavalt kliendi soovidele. Meie ettevõttes töötavad valdkonna spetsialistid, kellel on kogemusi […]

General info

Name

PEWELD OÜ

Registry code

12821245

VAT number

EE101782751

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

23.03.2015 (9)

Financial year

01.01-31.12

Capital

2 500.00 €

Activity

2223 - Manufacture of builders’ ware of plastic  

Revenue

2 166 131 €

Profit

11 807 €

Profit margin

1%

Gross salary

1 183 €

(estimate is approximate)

Equity

1 050 166 €

Employees

10

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

1%

Return on assets

1%

Related parties

Owner Representative Beneficial owner Roles

Raivo Pihelgas

23.05.1979 (45)

37% - 937.00 EUR Board member Direct ownership Founder

Risto Küket

28.06.1986 (38)

37% - 937.00 EUR - Direct ownership Founder

Urmet Uusorg

27.09.1976 (48)

25% - 626.00 EUR - Member of a higher management body, i.e. board member or supervisory board member

Financial info

2019
03.06.2020
2020
17.06.2021
2021
30.06.2022
2022
20.06.2023
2023
30.06.2024
Total Revenue 2 583 397 € 2 731 844 € 3 497 021 € 2 604 808 € 2 166 131 €
Net profit (loss) for the period 364 965 € 258 603 € 216 965 € 380 812 € 11 807 €
Profit Margin 14% 9% 6% 15% 1%
Current Assets 765 016 € 1 051 981 € 1 254 542 € 1 113 632 € 963 172 €
Fixed Assets 284 428 € 214 409 € 207 854 € 240 630 € 221 123 €
Total Assets 1 049 444 € 1 266 390 € 1 462 396 € 1 354 262 € 1 184 295 €
Current Liabilities 256 736 € 314 128 € 384 029 € 79 176 € 134 129 €
Non Current Liabilities - - - - -
Total Liabilities - - - - -
Share Capital - - - - -
Equity 792 708 € 952 262 € 1 078 367 € 1 275 086 € 1 050 166 €
Employees 14 14 17 16 10

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 400 463.92 € 80 038.78 € 27 413.75 € 11
2023 Q4 662 387.98 € 98 313.11 € 26 082.06 € 11
2023 Q3 735 646.46 € 76 055.92 € 21 148.55 € 11
2023 Q2 539 915.08 € 42 517.83 € 9 090.23 € 10
2023 Q1 238 736.15 € 32 242.52 € 22 576.52 € 5
2022 Q4 691 245.97 € 60 892.01 € 39 700.34 € 11
2022 Q3 761 348.49 € 95 110.41 € 33 047.33 € 15
2022 Q2 1 011 720.23 € 133 221.9 € 39 703.71 € 15
2022 Q1 545 129.48 € 50 355.18 € 38 399.92 € 16
2021 Q4 947 981.02 € 109 557.58 € 38 382.47 € 16
2021 Q3 1 279 283.99 € 127 739.65 € 38 816.15 € 18
2021 Q2 1 025 486.42 € 78 243.67 € 32 737.21 € 16
2021 Q1 646 251.09 € 50 116.53 € 32 307.64 € 15
2020 Q4 830 773.65 € 86 954.42 € 31 437.36 € 16
2020 Q3 741 914.63 € 51 800.58 € 15 887.52 € 16
2020 Q2 637 159.23 € 53 386.56 € 21 807 € 14
2020 Q1 623 061.42 € 65 811.76 € 28 154.41 € 15