UPM-Kymmene Otepää OÜ

10664333

Company info

UPM-Kymmene Otepää OÜ

10664333

UPM.comhttps://upm.comUPM.com

We contribute to the sustainable transformation of society with material solutions, utilizing renewable feedstocks.

General info

Name

UPM-Kymmene Otepää OÜ

Registry code

10664333

VAT number

EE100621732

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

12.05.2000 (25)

Financial year

01.01-31.12

Capital

1 278 233.00 €

Activity

16211 - Manufacture of veneer sheets and plywood 16111 -

Revenue

77 101 664 €

Profit

13 168 953 €

Profit margin

17%

Gross salary

2 364 €

(estimate is approximate)

Equity

66 105 944 €

Employees

255

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

20%

Return on assets

18%

Related parties

Owner Representative Beneficial owner

Lauri Kiivit

- Procurator -

Mairo Kangro

- Procurator -

Mari Lüdimois

- Procurator -

Mikko Tapio Miettinen

- Procurator -

Tauri Paabo

- Procurator -

Lasse Mikael Von Hertzen

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

Tommi Juhani Talvia

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

Financial info

2019
17.09.2020
2020
15.07.2021
2021
13.07.2022
2022
21.06.2023
2023
20.06.2024
2024
30.06.2025
Total Revenue 50 766 368 € 46 200 168 € 58 704 764 € 66 304 004 € 87 001 136 € 77 101 664 €
Net profit (loss) for the period 6 969 082 € 3 851 541 € 10 667 626 € 8 061 262 € 10 840 563 € 13 168 953 €
Profit Margin 14% 8% 18% 12% 12% 17%
Current Assets 21 589 244 € 19 450 328 € 28 508 354 € 34 244 004 € 41 089 584 € 43 343 080 €
Fixed Assets 39 986 380 € 38 579 400 € 35 533 964 € 32 880 538 € 29 970 244 € 30 167 348 €
Total Assets 61 575 624 € 58 029 728 € 64 042 316 € 67 124 544 € 71 059 830 € 73 510 430 €
Current Liabilities 5 494 892 € 6 107 297 € 6 451 669 € 8 468 249 € 8 062 477 € 7 340 140 €
Non Current Liabilities 64 733 € 54 893 € 55 482 € 59 865 € 60 361 € 64 345 €
Total Liabilities 5 559 625 € 6 162 190 € 6 507 151 € 8 528 114 € 8 122 838 € 7 404 485 €
Share Capital - - - - - -
Equity 56 016 000 € 51 867 540 € 57 535 168 € 58 596 428 € 62 936 992 € 66 105 944 €
Employees 263 257 245 252 257 255

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 25 956 528 € 6 426 061 € 934 831 € 256
2025 Q3 18 859 776 € 3 255 862 € 1 076 747 € 256
2025 Q2 27 911 172 € 3 792 882 € 1 145 673 € 249
2025 Q1 25 991 274 € 3 551 627 € 941 075 € 255
2024 Q4 25 975 044 € 3 734 928 € 921 224 € 256
2024 Q3 20 261 066 € 4 474 868 € 950 827 € 256
2024 Q2 27 553 886 € 4 068 828 € 1 087 643 € 245
2024 Q1 15 247 274 € 1 810 221 € 801 266 € 245
2023 Q4 24 051 420 € 2 948 772 € 859 405 € 246
2023 Q3 21 843 450 € 3 856 118 € 849 802 € 246
2023 Q2 35 077 296 € 3 713 539 € 951 638 € 246
2023 Q1 23 889 928 € 1 661 049 € 781 868 € 251
2022 Q4 27 637 456 € 3 181 445 € 776 028 € 254
2022 Q3 14 732 191 € 2 725 235 € 749 890 € 254
2022 Q2 21 061 096 € 2 740 005 € 796 259 € 244
2022 Q1 18 170 920 € 2 087 570 € 657 827 € 241