Company overview
Basic information
Company name
Tado lubos, MB
Company code
305586310
VAT code
LT100014016712
Registered address
Kaunas, Savanorių pr. 47-3, LT-44255
Registration date
2020-07-08
Company age: 6 y. 3 mo.
Contact information
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Phone
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Email
Presented as an image – cannot be copied
Website
https://www.tadolubos.lt
Company manager
For registered members only
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Indicators
Risk factors
Activity
Legal form
Small partnership
NACE activity
Other building completion and finishing
Ownership form
Private without foreign capital
MB "Tado lubos"
Company code: 305586310
Address: Kaunas, Savanorių pr. 47-3, LT-44255
VAT code: LT100014016712
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Description
This description was generated by artificial intelligence.
Tado lubos, MB (company code 305586310) is an operational private small partnership registered on 8 July 2020. It is a micro enterprise with a CEO-only governance structure and is classified within the national private non-financial companies sector. The company is based in Kaunas, Kauno m. sav., Kauno apskr., at Savanoriu pr. 47-3, LT-44255. Its main activity is EVRK code F.43.35.00, Other building completion and finishing.
In financial year 2025, the company generated revenue of EUR 118.0K, up 59.0% year on year, after EUR 74.2K in 2024 and EUR 99.4K in 2023. Net profit reached EUR 20.4K in 2025, compared with a net loss of EUR 15.7K in 2024 and profit of EUR 6.8K in 2023. The 2025 profit margin was 17.3%. Equity stood at EUR 21.3K, liabilities at EUR 4.7K, and total assets at EUR 26.0K. The latest available balance sheet also shows an equity ratio of 81.8% and debt to equity of 0.22.
Average employment was 2 in 2025 and remains 2 so far in 2026. The latest staff metrics indicate revenue per employee of EUR 59.0K and profit per employee of EUR 10.2K.
In financial year 2025, the company generated revenue of EUR 118.0K, up 59.0% year on year, after EUR 74.2K in 2024 and EUR 99.4K in 2023. Net profit reached EUR 20.4K in 2025, compared with a net loss of EUR 15.7K in 2024 and profit of EUR 6.8K in 2023. The 2025 profit margin was 17.3%. Equity stood at EUR 21.3K, liabilities at EUR 4.7K, and total assets at EUR 26.0K. The latest available balance sheet also shows an equity ratio of 81.8% and debt to equity of 0.22.
Average employment was 2 in 2025 and remains 2 so far in 2026. The latest staff metrics indicate revenue per employee of EUR 59.0K and profit per employee of EUR 10.2K.