SIA BUVE LNC
Inactive
In 2021, SIA BUVE LNC had revenue of 74.3 thousand EUR and profit of 10.3 thousand EUR. The company has 1 employees.
Warning
Business activity is currently suspended
| year | 2021Latest |
|---|---|
Revenue | 74,3k € |
Profit | 10,3k € |
Assets | 18,7k € |
Liabilities | 5,5k € |
Equity | 13,1k € |
Employees | 1 |
Overall rating | B69/100 |
Financial health | 100/100 |
Credit history | 70/100 |
Legal history | 70/100 |
Business activity |
| Indicator | Value | Rank | Comparison | |
|---|---|---|---|---|
Company age | 5 years | - | 0% | |
Net revenue |
| Name | Changed |
|---|---|
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
SIA BUVE LNC is located at Rīga, Progresa iela 2B.
In 2021, SIA BUVE LNC had revenue of 74 299 EUR and profit of 10 338 EUR. View full financial report →
In 2023, SIA BUVE LNC had an average of 1 employees. View tax history →
No, SIA BUVE LNC does not have an active VAT number and is not registered as a VAT payer.
SIA BUVE LNC was founded on April 9, 2021. The company has been operating for 5 years.
| 5/100 |
| Overall risk | High |
Business activity is suspended | |
Possible tax debts | |
Positive profit | |
Incomplete reports | |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| SIA TAVI REMONTDARBI | 24 September 2021 |
| 74 299,00 € |
- |
0% |
Profit | 10 338,00 € | - | 0% |
Equity | 13 138,00 € | - | 0% |
Assets | 18 677,00 € | - | 0% |
Liquidity | 4.09 | - | 90% |
Profitability | 13.9% | - | 25% |
Liquidation process has been initiated.
Annual financial report for 2021.
Registered in the Latvian company register.