OÜ Playground Advertising

11609968

Company info

OÜ Playground Advertising

11609968

Initiativehttps://initiative.eeInitiative

Tarbijal on üha enam valikuid, mistõttu brändi tuntus ei ole enam esimene valikute kriteerium – selleks on brändide meeldivus, isegi armastus. Et luua tõeliselt tugev side brändi ja tarbija vahel, on esmatähtis tarbija kultuuriliste väärtushinnangute mõistmine.

General info

Name

OÜ Playground Advertising

Registry code

11609968

VAT number

EE101357775

Type

OÜ - Limited Liability Company

Status

Registered

Foundation date

12.03.2009 (17)

Financial year

01.01-31.12

Capital

12 775.00 €

Activity

73121 - Media representation 64211 -

Revenue

5 925 679 €

Profit

2 825 448 €

Profit margin

48%

Gross salary

-

Equity

12 059 577 €

Employees

-

Annual report

Submitted

Tax arrears

No tax arrears

Return on equity

23%

Return on assets

22%

Related parties

Owner Representative Beneficial owner

Erko Täht

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

Heiki Koitla

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

OÜ ET Consult

11545607

10% - 1 278.00 EUR - -

osaühing HK Valdus

11471731

90% - 11 497.00 EUR - -

Related companies

Owner Representative Beneficial owner

Osaühing Initiative

10459952

85% - 2 172.00 EUR - -

Target Master OÜ

12280921

50% - 1 300.00 EUR - -

Financial info

2019
19.11.2020
2020
26.08.2021
2021
05.11.2022
2022
24.10.2023
2023
22.07.2024
2024
09.07.2025
Total Revenue 4 901 750 € 4 779 180 € 4 778 753 € 4 536 849 € 6 229 342 € 5 925 679 €
Net profit (loss) for the period 2 168 903 € 1 946 423 € 2 120 728 € 1 162 128 € 2 753 251 € 2 825 448 €
Profit Margin 44% 41% 44% 26% 44% 48%
Current Assets 3 358 020 € 4 655 033 € 4 908 570 € 5 192 343 € 6 972 910 € 8 982 165 €
Fixed Assets 2 168 723 € 2 168 021 € 3 199 175 € 3 206 390 € 3 771 358 € 3 912 070 €
Total Assets 5 526 743 € 6 823 054 € 8 107 745 € 8 398 733 € 10 744 268 € 12 894 235 €
Current Liabilities 482 122 € 558 366 € 592 329 € 512 300 € 1 020 139 € 834 658 €
Non Current Liabilities - - - - - -
Total Liabilities - - - - - -
Share Capital - - - - - -
Equity 5 044 621 € 6 264 688 € 7 515 416 € 7 886 433 € 9 724 129 € 12 059 577 €
Employees - - - - - -

Paid taxes, taxable turnover and number of employees

Turnover
State taxes
Labor taxes and payments
Employees
2025 Q4 2 235 353 € 30 676 € 17 269 € 2
2025 Q3 1 838 301 € 30 540 € 17 269 € 2
2025 Q2 1 437 735 € 28 572 € 17 295 € 2
2025 Q1 1 763 545 € 27 762 € 18 436 € 2
2024 Q4 1 350 854 € 24 935 € 16 026 € 2
2024 Q3 1 481 631 € 20 026 € 16 104 € 2
2024 Q2 1 871 148 € 75 680 € 16 086 € 2
2024 Q1 3 087 695 € 20 945 € 18 004 € 2
2023 Q4 2 380 417 € 0 € 15 762 € 2
2023 Q3 986 595 € 27 133 € 15 762 € 2
2023 Q2 776 968 € 23 350 € 15 864 € 2
2023 Q1 2 535 429 € 27 383 € 18 179 € 2
2022 Q4 2 146 137 € 28 831 € 15 804 € 2
2022 Q3 830 638 € 17 219 € 15 804 € 2
2022 Q2 922 097 € 16 555 € 15 870 € 2
2022 Q1 2 557 446 € 58 719 € 17 225 € 2