In 2023, Laidarbi SIA had revenue of 18.8 thousand EUR and profit of 4.7 thousand EUR.
| year | 2023Latest | 2022 | 2021 |
|---|---|---|---|
Revenue | 18,8k € -24.1% | 24,8k € +107.2% | 12k € -5.1% |
Profit | 4,7k € -31.3% | 6,9k € +308.7% | -3,3k € -203.5% |
Assets | 32,8k € +14.8% | 28,6k € +27.3% | 22,5k € -13.5% |
Liabilities | 3,4k € -12.9% | 3,9k € -16.3% | 4,7k € +145.5% |
Equity | 29,4k € +19.2% | 24,7k € +38.8% | 17,8k € -26.2% |
Employees | 0 -100.0% | 1 +0.0% | 1 -50.0% |
Overall rating | B+75/100 |
Financial health | 100/100 |
Credit history | 70/100 |
Legal history | 100/100 |
Business activity | 0/100 |
| Overall risk | Low |
No risk flags | |
Possible tax debts | |
Positive profit | |
Regular report filing | |
| Name | Changed |
|---|---|
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
| "Mūsu dārzs" SIA | 2 March 2021 |
Laidarbi SIA is located at Bauskas nov., Gailīšu pag., Pāce, "Kalniņi".
In 2023, Laidarbi SIA had revenue of 18 792 EUR and profit of 4738 EUR. Compared to previous year, revenue decreased by 24.1%. View full financial report →
No, Laidarbi SIA does not have an active VAT number and is not registered as a VAT payer.
Laidarbi SIA was founded on July 16, 2009. The company has been operating for 17 years.
| Indicator | Value | Rank | Comparison | |
|---|---|---|---|---|
Company age | 17 years | 1 - 4 | 83% | |
Net revenue | 18 792,00 € | 1 - 4 | 80% | |
Profit | 4738,00 € | 1 - 3 | 100% | |
Equity | 29 400,00 € | 1 - 2 | 50% | |
Assets | 32 826,00 € | 1 - 5 | 60% | |
Fixed assets | 1088,00 € | - | 10% | |
Investments | 25 007,00 € | - | 90% | |
Liquidity | 15.80 | - | 90% | |
Profitability | 25.2% | - | 60% |
Liquidation process has been initiated.
Annual financial report for 2023.
Annual financial report for 2022.
Annual financial report for 2021.
Annual financial report for 2020.
Annual financial report for 2019.
Annual financial report for 2018.
Registered in the Latvian company register.