SIA CelineT
Inactive
In 2021, SIA CelineT had revenue of 135.1 thousand EUR and profit of 29.1 thousand EUR. The company has 4 employees.
| year | 2021Latest | 2020 |
|---|---|---|
Revenue | 135,1k € +650.5% | 18k € |
Profit | 29,1k € +128.3% | 12,7k € |
Assets | 48,4k € +114.3% | 22,6k € |
Liabilities | 16,1k € +125.0% | 7,2k € |
Equity | 32,3k € +109.3% | 15,4k € |
Employees | 4 +300.0% | 1 |
Overall rating | A87/100 |
Financial health | 100/100 |
Credit history | 70/100 |
Legal history | 100/100 |
Business activity |
| Indicator | Value | Rank | Comparison | |
|---|---|---|---|---|
Company age | 6 years | - | 0% | |
Net revenue |
| Name | Changed |
|---|---|
| SIA "SPG SERVISS" | 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
SIA CelineT is located at Valmieras nov., Plāņu pag., Plāņi, Skolas iela 5 - 15.
In 2021, SIA CelineT had revenue of 135 078 EUR and profit of 29 067 EUR. Compared to previous year, revenue increased by 650.5%. View full financial report →
No, SIA CelineT does not have an active VAT number and is not registered as a VAT payer.
SIA CelineT was founded on September 11, 2020. The company has been operating for 6 years.
| 70/100 |
| Overall risk | Low |
No risk flags | |
Possible tax debts | |
Positive profit | |
Regular report filing | |
| SIA "SPG SERVISS" |
| 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
| SIA "SPG SERVISS" | 7 October 2022 |
| 135 078,00 € |
- |
0% |
Profit | 29 067,00 € | - | 0% |
Equity | 32 297,00 € | - | 0% |
Assets | 48 399,00 € | - | 0% |
Fixed assets | 4722,00 € | - | 0% |
Liquidity | 2.71 | - | 75% |
Profitability | 21.5% | - | 50% |
Liquidation process has been initiated.
Annual financial report for 2021.
Annual financial report for 2020.
Registered in the Latvian company register.