Company overview
Basic information
Company name
Karmazinų keramika, VšĮ
Company code
303385045
Registered address
Vilniaus r. sav., Dūkštų sen., Buivydų k., Buivydų g. 32, LT-14221
Registration date
2014-09-03
Company age: 12 y.
Contact information
Edit data
Phone
Email
Not disclosed
(personal)
Website
https://www.anagama.lt
Company manager
For registered members only
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Indicators
Risk factors
Activity
Legal form
Public Institution
NACE activity
Manufacture of ceramic household and ornamental articles
Ownership form
Private without foreign capital
Beneficiary of support
Yes, since 2014-09-03
NVO
Non-governmental organization since 2025-03-21
VšĮ "Karmazinų keramika"
Company code: 303385045
Address: Vilniaus r. sav., Dūkštų sen., Buivydų k., Buivydų g. 32, LT-14221
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Description
This description was generated by artificial intelligence.
Karmazinu keramika, VšI (company code 303385045) is an operational public institution registered on 3 September 2014. It operates as a micro-sized entity in private ownership and is governed by a CEO only. The company is classified in the sector of national private non-financial companies. Its core activity is EVRK code C.23.41.00, Manufacture of ceramic household and ornamental articles. The registered address is Buivydu g. 32, Buivydu k., Dukštu sen., Vilniaus r. sav., Vilniaus apskr., Lithuania.
In financial year 2025, the company reported revenue of EUR 102.7K and net profit of EUR 3.0K, corresponding to a 3.0% profit margin. Revenue increased by 9.7% year on year and by 135.0% over two years. Profitability was lower than in previous periods, while equity remained positive at EUR 43.7K. Total assets stood at EUR 73.4K, including EUR 63.3K in long-term assets and EUR 10.1K in short-term assets. Liabilities amounted to EUR 15.5K, and the equity ratio was 59.6%.
Staff metrics are recorded for 2026, which is a partial year, but no average employee or wage figures are provided.
In financial year 2025, the company reported revenue of EUR 102.7K and net profit of EUR 3.0K, corresponding to a 3.0% profit margin. Revenue increased by 9.7% year on year and by 135.0% over two years. Profitability was lower than in previous periods, while equity remained positive at EUR 43.7K. Total assets stood at EUR 73.4K, including EUR 63.3K in long-term assets and EUR 10.1K in short-term assets. Liabilities amounted to EUR 15.5K, and the equity ratio was 59.6%.
Staff metrics are recorded for 2026, which is a partial year, but no average employee or wage figures are provided.