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Gemini Grupė, UAB

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Okredo company details

Legal status

Active

Company ID

302646058

VAT code

LT100006583313
From 13/01/2012

Incorporation date

11/07/2011

Company's manager/representative

DARIUS SAIKEVIČIUS, Director

Share capital

30,173,140.48 EUR

Activity

Activities of head offices

Contacts

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Company registration address

Vilnius, Upės g. 21-1, LT-08128Check the map
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Website

-
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Number of employees

4
change arrow icon+1 *

* during past year

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Average wage

5,037.04 €
change arrow icon0 € *

* during past year

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Debts

0.00 €
locked iconDebt for business:Unlock
change arrow icon0 € *

* during past year

2023
change arrow icon+174 %

Turnover

167,000 €

Credit report

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25

Data sources

Business linkages

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6

Linkages

Monitoring

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9

Changes during the year

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Company's value

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Gemini Grupė, UAB financial ratios

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EBITDA margin (%)

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EBIT margin (%)

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EBITDA margin (%)

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EBIT margin (%)

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Financial statetment report

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Indicator
Turnover (€)
Sales per employee (€)info
Profit before tax (€)
Net Profit (€)
Profit per employee (€)info
Working capital requirementinfo
Debt-to-equity ratioinfo
Total profitability (%)info
Net profitability (%)info
Equity (€)
Amounts Payable And Liabilities (€)
Non-current Assets (€)
CurrentAssets (€)
EBITDA margin (%)info
EBITDA (€)info
EBIT margin (%)info
EBIT (€)info
2021
18,000
4,276
4,153,000
4,153,000
986,461
156.06
1.79
100.00
23,072.22
22,363,000
40,054,000
58,749,000
3,668,000
2022
61,000
15,250
3,833,000
3,833,000
958,250
48.33
1.63
88.52
6,283.61
26,196,000
42,804,000
65,059,000
3,941,000
2023
167,000
55,298
43,000,000
43,000,000
14,238,411
-3.10
0.39
70.06
25,748.50
96,028,000
37,618,000
132,569,000
1,077,000
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2023
167,000
55,298
43,000,000
43,000,000
14,238,411
-3.10
0.39
70.06
25,748.50
96,028,000
37,618,000
132,569,000
1,077,000
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2023

Turnover (€)

167,000 €Ascended174 % *

Sales per employee (€)

55,298 €Ascended263 % *

Profit before tax (€)

43,000,000 €Ascended1,022 % *

Net Profit (€)

43,000,000 €Ascended1,022 % *

Profit per employee (€)

14,238,411 €Ascended1,386 % *

Working capital requirement

-3.10 Descended-106.41 % *

Debt-to-equity ratio

0.39 Descended-76.07 % *

Total profitability (%)

70.06 %Descended-20.85 % *

Net profitability (%)

25,748.50 %Ascended309.77 % *

Equity (€)

96,028,000 €Ascended267 % *

Amounts Payable And Liabilities (€)

37,618,000 €Descended-12 % *

Non-current Assets (€)

132,569,000 €Ascended104 % *

CurrentAssets (€)

1,077,000 €Descended-73 % *

*over the last year starting selected period

Credit history

No. of unpaid debts

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Amount of unpaid debts

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Credit report

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company debt
Company has debt ?

No. of unpaid debts

0

Largest debt

-

Amount of unpaid debts

0.00

Oldest open debt

-

Unpaid debts
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Debt amountsort default icon
Debt datesort default icon
Debt typesort default icon
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-
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Debts payment history
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Debt amountsort default icon
Debt date / Payment datesort default icon
Debt typesort default icon
-
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Tax debtsMore information
orange dotSodra debt
green dotSTI debt

ESG data

Energy performance of the company's head office building

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Energy efficiency

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AddressVilnius, Upės g. 21-1, LT-08128
Certificate No.-
Date of issue-
Valid till-
Heated area-
Heat source-
Energy consumptionMore information
-
Co2 emissionMore information
-
Energy consumption for heating
-
Building function
-
Energy effiency class
Not defined

Vehicles

1
More information

Company's eco score according CO² of vehicle fleet

More information
A<120
B120 - 140
C140 - 155
D155 - 170
E170 - 190
F190 - 255
G255+
HNot determined

Maximum environmental friendliness

Lowest environmental friendliness

Vehicles

CLASS

AMOUNT

A(<120)
0
B(120 - 140)
0
C(140 - 155)
0
D(155 - 170)
0
E(170 - 190)
0
F(190 - 255)
1
G(255+)
0
H(Not determined)
0

Total

1

Eco scoresort default iconMore information
Brand, modelsort default icon
Categorysort default icon
Engine capacitysort default icon
Fuelsort default icon
eco class leter209
green index graphic
PORSCHE CAYENNE S DIESELFirst registration: 27/11/2014
Passenger car
4,134.00 cm³
Diesel

Trademarks

Company registered trademarks

9
Trademark viewsort default icon
Trademarksort default icon
Typesort default icon
Application Nosort default icon
Registration Nosort default icon
Expiresort default icon
TM statussort default icon
trademark logo
Caif cafe
Graphical
2014 0642
70196
26/03/2024
De-registered without renewal
trademark logo
Caif cafe
Graphical
2014 0641
70195
26/03/2024
De-registered without renewal
N/A
CAIF CAFE
Verbal
2014 0640
70194
26/03/2024
De-registered without renewal
N/A
CAIF CAFE
Verbal
2014 0640
70194
26/03/2024
De-registered without renewal
trademark logo
Caif cafe
Graphical
2014 0641
70195
26/03/2024
De-registered without renewal

Public data

Govermental support

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Support measuresort default icon
Data source
Subsidies to preserve work placesMore information
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Subsidies for downtime in 2020More information
Data source
ILTE business promotion measures (subsidies, compensations) in 2020More information
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ILTE business promotion measures (guarantees provided) in 2020More information
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ILTE business promotion measures (guarantees provided) in 2021More information
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Public negative information

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Redundancy of employees group (number of employees notified, date of announcement)More information
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Tax inspectorate information on payments in cashMore information
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Public procurement office information on unreliable suppliersMore information
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Public procurement office information on those that supplied false dataMore information
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Public procurement office information on possible disqualification from public procurement proceduresMore information
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Public data

Institutionsort default icon
Support measuresort default icon
Data source
Data from the B2Lithuania database of exportersMore information
Data source
The biggest taxpayers in 2021More information
Data source
Top taxpayers in 2021 excluding excise duties and VAT.More information
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Top personal income tax payers in 2021More information
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Top taxpayers for corporate income tax in 2021More information
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Licenses

The company has no records of any licenses', permits, certificates, or other licensing documents issued.

Public procurement

No. of won tenders

0* during past year

Total value of contracts

0 €

Number of announced tenders

0* during past year

Total value of contracts

0 €
Won tenders
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Datesort default icon
Procurer/contractorsort default icon
Amountsort default icon
Projectsort default icon
-
-
-
-
Announced tenders
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Datesort default icon
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Description

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About Gemini Grupė, UAB

Gemini Grupė, UAB was established in 11/07/2011, its legal status according to data of Registry of Legal Entities is Active.
Main activity of the company according NACE2 classification – Activities of head offices, 70.10.00. Company is owned by 1 shareholder. Company's representation right – Sole representation.
In 2023 Gemini Grupė, UAB turnover was 167,000 EUR, gross profit 43,000,000 EUR. According to SODRA company has 4 employees. Gemini Grupė, UAB is registered at – Vilnius, Upės g. 21-1, LT-08128.

All data about Gemini Grupė, UAB is up to date and consistent with the primary data source.
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