RRLektus Aktsiaselts

10072791

Company info

RRLektus Aktsiaselts

10072791

Meie Toidukaubad | Meie Pood - sooduspakkumised ja kliendilehthttps://meietoidukaubad.eeMeie Toidukaubad | Meie Pood - sooduspakkumised ja kliendileht

25 aastase kogemusega Eestimaine kaubanduskett Meie Toidukaubad. Toidukauplused üle Eesti - vaata sooduspakkumisi ja leia lähim pood!

General info

Name

RRLektus Aktsiaselts

Registry code

10072791

VAT number

EE100464096

Type

AS - Joint Stock Company

Status

Registered

Foundation date

26.08.1996 (27)

Financial year

01.01-31.12

Capital

29 000.00 €

Activity

46391 - Non-specialised wholesale of food, beverages and tobacco 56101 - Restaurants, cafeterias and other catering places 47111 - Retail sale in non-specialised stores with food, beverages or tobacco predominating

Revenue

67 125 503 €

Profit

2 787 972 €

Profit margin

4%

Gross salary

1 198 €

(estimate is approximate)

Equity

21 092 129 €

Employees

313

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

13%

Return on assets

9%

Related parties

Owner Representative Beneficial owner Roles

Osaühing REPTEKS

10015770

23% - 6 728.60 EUR - - Shareholder

Ajutine konto: Toomas Põld

23.04.1966 (58)

21% - 6 020.92 EUR - - ShareholderBoard member

Jüri Suurkivi

25.08.1964 (59)

11% - 3 128.17 EUR - - Shareholder

Rein Reinvee

16.10.1959 (64)

40% - 11 736.54 EUR Board member Direct ownership Shareholder

Aili Umblia

07.10.1968 (55)

- Board member -

Aivar Krabi

16.08.1963 (60)

- - - Board member

Ilmar Raap

18.06.1969 (54)

- - - Chairman of the board

Related companies

Owner Representative Beneficial owner Roles

Greenrent OÜ

12631094

100% - 2 500.00 EUR - - Founder

OÜ Tootjavastutusorganisatsioon

11544022

5% - 160.00 EUR - -

Financial info

2020
11.06.2021
2021
26.05.2022
2022
04.07.2023
Total Revenue 59 197 745 € 61 892 516 € 67 125 503 €
Net profit (loss) for the period 3 508 803 € 3 704 495 € 2 787 972 €
Profit Margin 6% 6% 4%
Current Assets 6 959 994 € 7 447 947 € 10 200 765 €
Fixed Assets 16 132 134 € 18 967 072 € 20 434 564 €
Total Assets 23 092 128 € 26 415 019 € 30 635 329 €
Current Liabilities 5 642 162 € 6 225 730 € 5 566 981 €
Non Current Liabilities 850 304 € 885 132 € 3 976 219 €
Total Liabilities 6 492 466 € 7 110 862 € 9 543 200 €
Share Capital 29 000 € 29 000 € 29 000 €
Equity 16 599 662 € 19 304 157 € 21 092 129 €
Employees 322 317 313

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2023 Q4 18 295 272.04 € 946 231.34 € 600 461.13 € 369
2023 Q3 20 925 585.13 € 996 734.89 € 628 753.9 € 375
2023 Q2 17 984 554.42 € 1 093 243.74 € 543 087.19 € 389
2023 Q1 15 162 414.4 € 796 242.88 € 487 900.69 € 356
2022 Q4 16 708 963.33 € 834 556.17 € 532 254.06 € 356
2022 Q3 19 400 488.98 € 1 207 881.16 € 590 191.84 € 378
2022 Q2 16 688 245.33 € 834 283.59 € 444 490.71 € 405
2022 Q1 14 157 743.02 € 837 780.98 € 465 449.98 € 374
2021 Q4 14 890 417.37 € 725 873.42 € 453 824.61 € 372
2021 Q3 17 190 613.93 € 1 062 728.13 € 549 969.71 € 380
2021 Q2 15 452 941.96 € 801 529.03 € 421 138.34 € 409
2021 Q1 13 258 182.23 € 837 437.07 € 422 292.02 € 374
2020 Q4 14 040 927.54 € 686 592.65 € 436 013.04 € 371
2020 Q3 16 353 683.24 € 1 044 316.32 € 509 732.63 € 378
2020 Q2 15 018 696.98 € 755 282.98 € 389 175.03 € 431
2020 Q1 12 284 378.28 € 800 759.8 € 376 588.47 € 377