Žaliasis taškas, VŠĮ revenue, profit
Credit Risk:
| Year | 2021 | 2022 | 2023 | 2024 | 2025 |
|---|---|---|---|---|---|
| Sales revenue/Revenue* | 19 365 691 € | 20 184 966 € | 27 399 606 € | 37 409 099 € | 40 838 167 € |
| Profit (loss) before taxes | 489 534 € | 2 006 791 € | 1 141 393 € | -2 874 073 € | |
| Profit before taxes margin | 2,43 % | 7,32 % | 3,05 % | -7,04 % | |
| Net profit (loss) | 489 534 € | 2 006 791 € | 1 141 393 € | -2 874 073 € | |
| Net profit margin | 2,43 % | 7,32 % | 3,05 % | -7,04 % | |
| Equity capital | 6 516 785 € | 6 853 399 € | 8 827 499 € | 9 969 000 € | 7 056 737 € |
| Amounts payable and other liabilities | 9 898 184 € | 9 059 880 € | 7 972 323 € | 8 416 172 € | 14 020 651 € |
| Non-current assets | 17 195 € | 7 142 € | 99 466 € | 128 657 € | 23 942 € |
| Current assets | 16 397 774 € | 15 906 137 € | 16 700 356 € | 18 256 515 € | 21 053 446 € |
* From 2022 the financial data of public bodies, associations and charities and support funds shows the total income, which is the sum of sales income, financing income and all other income.
Get the latest financial report for the year 2025 with the data company submitted to the National Register Center. 2025 m. Reports »
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