In 2019, SIA "Monetizator" had revenue of 112.8 thousand EUR and loss of 229.2 thousand EUR. The company has 1 employees.
Warning
Business activity is currently suspended
Company is in liquidation process
This company is currently being liquidated. Be cautious when conducting transactions with this company.
| Status | Type | Start Date | End Date | Grounds | Liquidator |
|---|---|---|---|---|---|
Active | Liquidation Process | 2021. gada 8. septembris | - | 29.09.2020. dalībnieku sapulces protokols | - |
Company has securing measures applied
This company has court orders or restrictions applied. This may indicate debt obligations or legal issues.
| Type | Details | Applied | Case Number | Institution |
|---|---|---|---|---|
| Aizliegums | - | 2026. gada 22. janvāris | 30.4/17.20.5/4518 | Valsts ieņēmumu dienests |
| Aizliegums | Piemērots aizliegums reorganizācijai un dalībnieku maiņai | 2021. gada 26. augusts |
year | Revenue | Profit | Assets | Liabilities | Equity | Employees |
|---|---|---|---|---|---|---|
| 2019 | 112 838 € +25.4% | -229 223 € +36.9% | 776 963 € -48.9% | 964 317 € | -187 354 € | 4 -20.0% |
| 2018 | 89 996 € +304.1% | -363 246 € -34.3% | 1 520 438 € +147.4% | 1 698 563 € | -178 125 € | 5 -16.7% |
| 2017 | 22 272 € +369.4% | -270 520 € +41.0% | 614 520 € -30.1% | 513 235 € | 101 285 € | 6 -14.3% |
| 2016 | 4745 € +94.9% | -458 731 € -117.7% | 878 586 € +76.9% | 506 765 € | 371 821 € | 7 +133.3% |
Active |
| Liquidation Process |
| 2021. gada 8. septembris |
| - |
| 29.09.2020. dalībnieku sapulces protokols |
| - |
Active | Liquidation Process | 2021. gada 8. septembris | - | 29.09.2020. dalībnieku sapulces protokols | - |
Active | Liquidation Process | 2021. gada 8. septembris | - | 29.09.2020. dalībnieku sapulces protokols | - |
Active | Liquidation Process | 2021. gada 8. septembris | - | 29.09.2020. dalībnieku sapulces protokols | - |
Active | Liquidation Process | 2021. gada 8. septembris | - | 29.09.2020. dalībnieku sapulces protokols | - |
Active | Liquidation Process | 2021. gada 8. septembris | - | 29.09.2020. dalībnieku sapulces protokols | - |
Active | Liquidation Process | 2021. gada 8. septembris | - | 29.09.2020. dalībnieku sapulces protokols | - |
Active | Liquidation Process | 2021. gada 8. septembris | - | 29.09.2020. dalībnieku sapulces protokols | - |
Active | Liquidation Process | 2021. gada 8. septembris | - | 29.09.2020. dalībnieku sapulces protokols | - |
Active | Liquidation Process | 2021. gada 8. septembris | - | 29.09.2020. dalībnieku sapulces protokols | - |
Active | Liquidation Process | 2021. gada 8. septembris | - | 29.09.2020. dalībnieku sapulces protokols | - |
Active | Liquidation Process | 2021. gada 8. septembris | - | 29.09.2020. dalībnieku sapulces protokols | - |
| 30.1-8.59.2/8.59.2/132477 |
| Valsts ieņēmumu dienests |
Overall Rating | D28/100 |
Financial Health | 7.5/100 |
Credit History | 60/100 |
Legal History | 35/100 |
Business Activity | 5/100 |
| Overall Risk | High |
Business activity is suspended | |
Possible tax debts | |
Negative profit | |
Regular report filing | |
| Name, Surname | Position | Representation Rights | Registered | |
|---|---|---|---|---|
| Liquidator | Independently |
SIA "Monetizator" is located at Rīga, Krišjāņa Valdemāra iela 53 - 1.
In 2019, SIA "Monetizator" had revenue of 112 838 EUR and loss of 229 223 EUR. Compared to previous year, revenue increased by 25.4%. View full financial report →
In 2024, SIA "Monetizator" had an average of 1 employees. View tax history →
No, SIA "Monetizator" does not have an active VAT number and is not registered as a VAT payer.
SIA "Monetizator" was founded on December 28, 2013. The company has been operating for 13 years.
| Indicator | Value | Rank | Comparison | |
|---|---|---|---|---|
Company Age | 13 years | - | 0% | |
Net Revenue | 112 838,00 € | - | 0% | |
Profit | -229 223,00 € | - | 0% | |
Equity | -187 354,00 € | - | 0% | |
Assets | 776 963,00 € | - | 0% | |
Fixed Assets | 1806,00 € | - | 0% | |
Investments | 716 934,00 € | - | 0% | |
Liquidity | 0.20 | - | 10% | |
Profitability | -203.1% | - | 10% | |
Registered Capital | 5648,00 € | - | 0% |
| Name, Surname | Shares | Ownership Rights | |
|---|---|---|---|
| Komandītsabiedrība EXPANSION CAPITAL FUND AIF | 1422 | 25.18% | |
| "Sensum Grupa" AS | 1019 | 18.04% | |
| Mārtiņš Kalniņš | 872 | 15.44% | |
| Ance Kalniņa | 811 | 14.36% | |
Annual financial report for 2019.
Annual financial report for 2018.
Annual financial report for 2017.
Annual financial report for 2016.
Annual financial report for 2015.
Annual financial report for 2014.
New registered capital: 5648 EUR.
Registered in the Latvian Company Register.
Registered as a VAT payer.
Removed from the VAT payer register.
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