Company overview
Basic information
Company name
Marijampolės oreivių klubas
Company code
151371446
Registered address
Marijampolė, Poilsio g. 26, LT-68127
Registration date
1998-04-14
Company age: 28 y. 5 mo.
Contact information
Edit data
Phone
Email
Not disclosed
(personal)
Website
None
Company manager
For registered members only
Log in
Indicators
Risk factors
Activity
Legal form
Association
NACE activity
Activities of professional membership organisations
Sector
Namų ūkiams paslaugas teikiančios ne pelno institucijos
Ownership form
Private without foreign capital
Beneficiary of support
Yes, since 2005-09-20
NVO
Non-governmental organization since 2025-04-04
Marijampolės oreivių klubas
Company code: 151371446
Address: Marijampolė, Poilsio g. 26, LT-68127
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Description
This description was generated by artificial intelligence.
Marijampoles oreiviu klubas (company code 151371446) is an operational association registered in 1998. It is classified as a public entity in the sector of non-profit institutions providing services to households, with private ownership and governance described as CEO only. The company is also categorised as micro in size. Its main activity is coded as T.94.12.00, Activities of professional membership organisations. The organisation is based in Marijampole, at Poilsio g. 26, LT-68127, in Marijampoles municipality and Marijampole county.
Financially, the company reported revenue of €57.9K in 2025, down 22.4% year on year and 21.7% over two years. Net profit for 2025 was -€7.1K, compared with a profit in both 2023 and 2024, when revenue stood at €74.0K and €74.7K respectively. Profit margin fell to -12.3% in 2025 from 13.6% in 2024. Equity at the end of 2025 was €37.7K, total assets €38.4K, and liabilities €651. The balance sheet remained strongly equity-funded, with an equity ratio of 98.3% and debt to equity of 0.02.
Financially, the company reported revenue of €57.9K in 2025, down 22.4% year on year and 21.7% over two years. Net profit for 2025 was -€7.1K, compared with a profit in both 2023 and 2024, when revenue stood at €74.0K and €74.7K respectively. Profit margin fell to -12.3% in 2025 from 13.6% in 2024. Equity at the end of 2025 was €37.7K, total assets €38.4K, and liabilities €651. The balance sheet remained strongly equity-funded, with an equity ratio of 98.3% and debt to equity of 0.02.