OÜ JATS

10098804

Company info

OÜ JATS

10098804

esileht - JATShttps://www.jats.eeesileht - JATS

Ehitusmaterjalid ehituskeemia ehitusplaadid elektrimaterjalid katusematerjalid Metall Plokid puit segud soojustus tänavakivid Viimistlus katuseaknad keraamilised plaadid laematerjalid põrandakatted uksed värvid ja keemiakaubad Vesi, Küte, Ventilatsioon korstnad sisekanalisatsioon Tarbevesi ja küte valamud ja segistid välikanalisatsioon ventilatsioon sanitaartehnika dušid saun valamud ja segistid vannitoasisustus wc potid Tööriistad agregaadid aiatööriistad elektritööriistad käsitööriistad redelid aed aiad ja väravad aiamööbel aiatehnika […]

General info

Name

OÜ JATS

Registry code

10098804

VAT number

EE100470925

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

12.11.1996 (29)

Financial year

01.01-31.12

Capital

31 900.00 €

Activity

47529 - Retail sale of other building material and goods in specialised stores 47522 - Retail sale of sanitary and water supply equipment and supplies 47521 - Retail sale of hardware and tools 47121 -

Revenue

2 069 695 €

Profit

92 221 €

Profit margin

4%

Gross salary

1 253 €

(estimate is approximate)

Equity

1 132 046 €

Employees

36

Annual report

-

Tax arrears

No tax arrears

Return on equity

8%

Return on assets

7%

Related parties

Owner Representative Beneficial owner Roles

Maire Jaago

26% - 8 294.00 EUR - -

Taimi Jõõts

26% - 8 294.00 EUR - -

Aivar Jaago

26% - 8 294.00 EUR Board member (chairman) -

Milvi Aviste

22% - 7 018.00 EUR - -

Financial info

2019
12.07.2020
2020
13.06.2021
2021
20.06.2022
2022
20.09.2023
2023
15.02.2024
2024
26.02.2025
Total Revenue 2 176 158 € 2 342 145 € 2 446 375 € 2 575 321 € 2 410 162 € 2 262 124 €
Net profit (loss) for the period 50 654 € 69 687 € 43 902 € 36 313 € 92 221 € -24 631 €
Profit Margin 2% 3% 2% 1% 4% -1%
Current Assets 709 487 € 770 083 € 759 523 € 826 885 € 827 785 € 807 429 €
Fixed Assets 376 820 € 389 857 € 446 468 € 420 493 € 485 238 € 478 280 €
Total Assets 1 086 307 € 1 159 940 € 1 205 991 € 1 247 378 € 1 313 023 € 1 285 709 €
Current Liabilities 164 581 € 168 530 € 170 679 € 175 753 € 180 977 € 176 584 €
Non Current Liabilities 0 € 0 € 0 € 0 € - 1 711 €
Total Liabilities - - - - - 178 295 €
Share Capital 31 956 € 31 956 € 31 956 € 31 956 € 31 956 € -
Equity 921 726 € 991 410 € 1 035 312 € 1 071 625 € 1 132 046 € 1 107 414 €
Employees 17 17 15 15 14 12

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 604 886 € 65 341 € 28 848 € 12
2025 Q3 732 502 € 71 625 € 28 842 € 12
2025 Q2 682 589 € 49 427 € 29 243 € 12
2025 Q1 397 157 € 45 467 € 28 646 € 13
2024 Q4 662 954 € 52 254 € 26 617 € 13
2024 Q3 742 597 € 60 826 € 25 774 € 13
2024 Q2 658 594 € 43 675 € 28 602 € 12
2024 Q1 396 800 € 52 872 € 26 454 € 13
2023 Q4 722 926 € 68 098 € 26 355 € 13
2023 Q3 726 999 € 58 964 € 25 114 € 13
2023 Q2 676 676 € 41 766 € 24 647 € 14
2023 Q1 425 557 € 40 988 € 26 315 € 14
2022 Q4 727 256 € 60 582 € 28 433 € 15
2022 Q3 807 110 € 56 443 € 27 927 € 15
2022 Q2 770 944 € 35 811 € 24 517 € 16
2022 Q1 453 484 € 37 519 € 24 442 € 16