Põllumeeste ühistu KEVILI

11107675

General info

Name

Põllumeeste ühistu KEVILI

Registry code

11107675

VAT number

EE100961926

Type

TÜH - General Partnership

Status

Registered

Foundation date

12.04.2005 (19)

Financial year

01.01-31.12

Activity

46211 - Wholesale of grain, unmanufactured tobacco, seeds and animal feeds 46751 - Wholesale of fertilisers and agrochemical products

Revenue

147 528 126 €

Profit

2 578 500 €

Profit margin

2%

Gross salary

3 010 €

(estimate is approximate)

Equity

16 514 241 €

Employees

39

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

16%

Return on assets

3%

Related parties

Owner Representative Beneficial owner Roles

Hannes Prits

04.07.1981 (42)

- Board member -

Aare Mölder

24.10.1965 (58)

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

Andres Oopkaup

25.05.1966 (57)

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

Avo Kons

09.06.1973 (50)

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

Heiki Kuusmik

21.05.1982 (41)

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

Jaak Läänemets

06.12.1957 (66)

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

Rein Rosenberg

10.04.1971 (53)

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

Tõnis Riisk

14.06.1981 (42)

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

Related companies

Owner Representative Beneficial owner Roles

Kevili Investeeringud OÜ

12363512

40% - 720 864.00 EUR - - Founder

KEVILI Foods OÜ

12764518

100% - 2 500.00 EUR - - Founder

Golden Fields Factory OÜ

14476870

- - - Founder

Financial info

2020
25.06.2021
2021
11.06.2022
2022
19.06.2023
Total Revenue 101 651 879 € 98 071 870 € 147 528 126 €
Net profit (loss) for the period 1 982 600 € 1 069 330 € 2 578 500 €
Profit Margin 2% 1% 2%
Current Assets 21 989 387 € 38 987 518 € 58 967 139 €
Fixed Assets 16 096 881 € 16 637 671 € 16 195 467 €
Total Assets 38 086 268 € 55 625 189 € 75 162 606 €
Current Liabilities 19 054 749 € 35 951 517 € 53 206 987 €
Non Current Liabilities 11 921 738 € 6 905 575 € 5 441 378 €
Total Liabilities 30 976 487 € 42 857 092 € 58 648 365 €
Share Capital - - -
Equity 7 109 781 € 12 768 097 € 16 514 241 €
Employees 34 36 39

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2023 Q4 18 248 986.7 € - 217 185.49 € 48
2023 Q3 26 846 284.38 € 383 115.74 € 191 925.03 € 48
2023 Q2 43 422 522.06 € 1 019 396.78 € 276 289.44 € 44
2023 Q1 42 986 723.14 € - 238 920.62 € 43
2022 Q4 57 330 054.67 € - 190 897.01 € 42
2022 Q3 38 690 177.52 € - 155 863.34 € 42
2022 Q2 47 856 922.39 € 3 032 730.82 € 193 366.19 € 37
2022 Q1 20 071 869.26 € 1 603 166.35 € 168 171.37 € 32
2021 Q4 48 803 994.13 € - 139 552.15 € 36
2021 Q3 31 488 038.67 € - 126 655.33 € 37
2021 Q2 22 372 271.84 € 1 856 879.7 € 189 819.32 € 34
2021 Q1 19 641 314.28 € 881 685 € 200 560.75 € 42
2020 Q4 47 649 075.39 € - 129 844.67 € 42
2020 Q3 16 956 468.75 € - 118 824.61 € 44
2020 Q2 21 080 838.13 € 897 891.04 € 161 253.62 € 39
2020 Q1 26 138 443.78 € 1 814 545.55 € 133 376.15 € 40