EMG Karjäärid OÜ

14273374

General info

Name

EMG Karjäärid OÜ

Registry code

14273374

VAT number

EE102089767

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

06.06.2017 (7)

Financial year

01.01-31.12

Capital

2 500.00 €

Activity

0812 - Operation of gravel and sand pits; mining of clays and kaolin 49411 - Freight transport by road

Revenue

4 230 000 €

Profit

-209 000 €

Profit margin

-5%

Gross salary

3 353 €

(estimate is approximate)

Equity

647 000 €

Employees

20

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

-32%

Return on assets

-2%

Related parties

Owner Representative Beneficial owner Roles

Agenda OÜ

12117061

13% - 328.13 EUR - -

OÜ TOON

12052120

13% - 328.12 EUR - -

Tremar Invest OÜ

14141773

9% - 218.75 EUR - - Founder

OÜ INF Engineering

16568470

60% - 1 500.00 EUR - -

Ajajuht OÜ

16694789

5% - 125.00 EUR - -

Omanikukonto: JAN JOHANSON

17.04.1983 (41)

- Board member -

Rein Rätsep

26.10.1972 (52)

- Board member -

Enn Pant

26.06.1965 (59)

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

Eve Pant

25.07.1968 (56)

- - - Board member

Martti Talgre

16.08.1982 (42)

- - - Board member

Jaanus Sula

14.12.1966 (57)

- - - Board member

Ain Hanschmidt

10.11.1961 (62)

- - - Chairman of the board

Related companies

Owner Representative Beneficial owner Roles

EMG Kuiv Liiv OÜ

11306794

100% - 32 000.00 EUR - -

Financial info

2019
23.10.2020
2020
30.06.2021
2021
30.06.2022
2022
30.06.2023
2023
20.06.2024
Total Revenue 3 247 000 € 2 966 000 € 5 153 000 € 5 276 000 € 4 230 000 €
Net profit (loss) for the period 125 000 € -50 000 € 321 000 € 41 000 € -209 000 €
Profit Margin 4% -2% 6% 1% -5%
Current Assets 2 321 000 € 2 015 000 € 1 273 000 € 2 339 000 € 1 978 000 €
Fixed Assets 7 031 000 € 6 949 000 € 6 922 000 € 8 660 000 € 8 375 000 €
Total Assets 9 352 000 € 8 964 000 € 8 195 000 € 10 999 000 € 10 353 000 €
Current Liabilities 4 497 000 € 4 571 000 € 1 450 000 € 4 811 000 € 5 042 000 €
Non Current Liabilities 4 443 000 € 4 031 000 € 6 061 000 € 5 528 000 € 4 664 000 €
Total Liabilities 8 940 000 € 8 602 000 € 7 511 000 € 10 339 000 € 9 706 000 €
Share Capital - - - - -
Equity 412 000 € 362 000 € 684 000 € 660 000 € 647 000 €
Employees 18 18 17 27 20

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2024 Q1 320 591.74 € 85 111.05 € 65 278.22 € 12
2023 Q4 834 838.42 € 201 136.41 € 124 607.17 € 15
2023 Q3 1 364 980.2 € 264 324.93 € 105 053.64 € 19
2023 Q2 1 309 358.56 € 257 025.89 € 124 176.02 € 21
2023 Q1 853 512.96 € 147 759.33 € 96 453.57 € 21
2022 Q4 1 964 047.45 € 309 811.17 € 119 948.64 € 23
2022 Q3 1 245 291.6 € 203 806.21 € 84 614.36 € 24
2022 Q2 1 105 205.59 € 149 683.18 € 107 860.67 € 13
2022 Q1 576 529.7 € 84 893.71 € 64 397.09 € 15
2021 Q4 1 328 585.99 € 197 445.64 € 69 385.79 € 15
2021 Q3 1 716 832.5 € 232 552.2 € 71 507.71 € 15
2021 Q2 1 477 476.76 € 280 235.04 € 72 050.03 € 16
2021 Q1 659 619.79 € 88 396.42 € 61 799.11 € 16
2020 Q4 1 184 358.21 € 219 565.23 € 74 713.75 € 17
2020 Q3 702 703.94 € 164 312.87 € 67 532.6 € 17
2020 Q2 697 670.16 € 134 377.19 € 63 992.76 € 18
2020 Q1 409 466.39 € 74 210.53 € 58 630.67 € 20