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UAB "Kotrynos baldai"

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Okredo company details

Legal status

Active

Company ID

182728647

VAT code

LT827286410
From 01/12/2020

Incorporation date

23/01/1991

Company's manager/representative

JANINA VALEIKIENĖ, Director

Share capital

2,500.00 EUR

Activity

Construction of residential and non-residential buildings

Contacts

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Company registration address

Ukmergė, Nuotekų g. 78, LT-20142Check the map
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Website

-
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Number of employees

1
change arrow icon-1 *

* during past year

More information

Average wage

No data available
change arrow icon0 € *

* during past year

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Debts

2.13 €
locked iconDebt for business:Unlock
change arrow icon+2.13 € *

* during past year

2023
change arrow icon+78 %

Turnover

64,631 €

Credit report

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25

Data sources

Business linkages

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3

Linkages

Monitoring

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39

Changes during the year

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Company's value

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UAB "Kotrynos baldai" 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
83,327
30,301
29,927
28,431
10,339
0.53
1.07
100.00
34.12
103,986
111,019
72,005
143,000
2022
36,309
14,641
2,071
1,967
793
-0.39
0.33
100.00
5.42
183,959
60,871
209,907
34,923
2023
64,631
26,380
-9,074
-9,074
-3,704
-0.54
0.32
100.00
-14.04
156,820
50,845
191,857
15,808
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2023
64,631
26,380
-9,074
-9,074
-3,704
-0.54
0.32
100.00
-14.04
156,820
50,845
191,857
15,808
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2023

Turnover (€)

64,631 €Ascended78 % *

Sales per employee (€)

26,380 €Ascended80 % *

Profit before tax (€)

-9,074 €Descended-538 % *

Net Profit (€)

-9,074 €Descended-561 % *

Profit per employee (€)

-3,704 €Descended-567 % *

Working capital requirement

-0.54 Descended-38.46 % *

Debt-to-equity ratio

0.32 Descended-3.03 % *

Total profitability (%)

100.00 %Ascended0.00 % *

Net profitability (%)

-14.04 %Descended-359.04 % *

Equity (€)

156,820 €Descended-15 % *

Amounts Payable And Liabilities (€)

50,845 €Descended-16 % *

Non-current Assets (€)

191,857 €Descended-9 % *

CurrentAssets (€)

15,808 €Descended-55 % *

*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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company debt
Company has debt ?

No. of unpaid debts

1

Largest debt

SODRA

Amount of unpaid debts

€2.13

Oldest open debt

-

Unpaid debts
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Debts payment history
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Debt date / Payment datesort 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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AddressUkmergė, Nuotekų g. 78, LT-20142
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

0
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)
0
G(255+)
0
H(Not determined)
0

Total

0

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green index h
Įmonės vardu transporto priemonės neregistruotos
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-
-

Trademarks

Company registered trademarks

0

No trademarks found

Public data

Govermental support

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Subsidies to preserve work placesMore information
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Subsidies for downtime in 2020More information
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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

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Data source
Data from the B2Lithuania database of exportersMore information
Data source
The biggest taxpayers in 2021More information
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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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Announced tenders
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Datesort default icon
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-
-
-

Archive of articles

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BNS News

0
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Description

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About UAB "Kotrynos baldai"

UAB "Kotrynos baldai" was established in 23/01/1991, its legal status according to data of Registry of Legal Entities is Active.
Main activity of the company according NACE2 classification – Construction of residential and non-residential buildings, 41.20.00. Company is owned by 1 shareholder. Company's representation right – Sole representation.
In 2023 UAB "Kotrynos baldai" turnover was 64,631 EUR, gross profit -9,074 EUR. According to SODRA company has 1 employee. UAB "Kotrynos baldai" is registered at – Ukmergė, Nuotekų g. 78, LT-20142.

All data about UAB "Kotrynos baldai" is up to date and consistent with the primary data source.
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Credit historyCredit hist.