Aktsiaselts PAFER

10017059

Company info

Aktsiaselts PAFER

10017059

Online kasiino | Slotid, spordiennustus, pokker ja bingo | Pafhttps://paf.eeOnline kasiino | Slotid, spordiennustus, pokker ja bingo | Paf

Mängi täna Eesti parimas online kasiinos. Kasiino, spordiennustus, bingo ja palju teisi mänge. Registreeru tasuta ja saa tervitusboonus.

General info

Name

Aktsiaselts PAFER

Registry code

10017059

VAT number

EE100818150

Type

AS - Joint Stock Company

Status

Registered

Foundation date

19.03.1996 (30)

Financial year

01.01-31.12

Capital

1 024 000.00 €

Activity

92001 - Gambling and betting activities

Revenue

13 068 436 €

Profit

1 550 611 €

Profit margin

12%

Gross salary

-

Equity

3 232 529 €

Employees

30

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

48%

Return on assets

25%

Related parties

Owner Representative Beneficial owner

Allar Levandi

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

Per Sahlberg

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

Lasse Danielsson

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

Rain Berezin

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

Aktsiaselts PAFER

10017059

100% - 1 024 000.00 EUR - -

Related companies

Owner Representative Beneficial owner

Aktsiaselts PAFER

10017059

100% - 1 024 000.00 EUR - -

Financial info

2019
28.06.2020
2020
11.06.2021
2021
09.06.2022
2022
31.05.2023
2023
28.06.2024
2024
30.06.2025
Total Revenue 12 990 803 € 11 362 347 € 12 493 491 € 13 101 650 € 11 522 624 € 13 068 436 €
Net profit (loss) for the period 1 962 033 € 2 883 571 € 2 622 547 € 1 899 950 € 1 702 045 € 1 550 611 €
Profit Margin 15% 25% 21% 15% 15% 12%
Current Assets 7 441 032 € 10 631 123 € 10 034 088 € 9 233 934 € 9 376 339 € 5 246 144 €
Fixed Assets 2 230 753 € 1 871 313 € 1 925 965 € 1 358 841 € 899 324 € 1 026 332 €
Total Assets 9 671 785 € 12 502 436 € 11 960 053 € 10 592 775 € 10 275 663 € 6 272 476 €
Current Liabilities 638 661 € 585 741 € 620 811 € 633 583 € 1 965 124 € 3 039 947 €
Non Current Liabilities - - - - - -
Total Liabilities - - - - - -
Share Capital 1 024 000 € 1 024 000 € 1 024 000 € 1 024 000 € 1 024 000 € 1 024 000 €
Equity 9 033 124 € 11 916 695 € 11 339 242 € 9 959 192 € 8 310 539 € 3 232 529 €
Employees 57 41 35 34 30 30

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 555 161 € 669 390 € 157 631 € 29
2025 Q3 352 782 € 661 635 € 213 514 € 29
2025 Q2 266 700 € 560 661 € 146 850 € 29
2025 Q1 226 059 € 1 344 523 € 138 374 € 31
2024 Q4 241 958 € 562 100 € 143 440 € 30
2024 Q3 214 789 € 1 091 815 € 137 992 € 30
2024 Q2 208 192 € 494 225 € 132 079 € 33
2024 Q1 208 277 € 494 092 € 120 801 € 32
2023 Q4 152 039 € 453 074 € 113 574 € 31
2023 Q3 158 244 € 1 068 265 € 119 900 € 31
2023 Q2 169 171 € 447 080 € 125 405 € 29
2023 Q1 169 875 € 511 841 € 122 976 € 32
2022 Q4 158 776 € 507 971 € 114 639 € 34
2022 Q3 124 323 € 566 854 € 123 672 € 34
2022 Q2 124 610 € 1 199 420 € 122 530 € 37
2022 Q1 154 985 € 422 494 € 109 829 € 38