Tagri konsultacijos, UAB - financials and debts

Company age: 6 y. 0 mo.

Update

Tagri konsultacijos - Company finances

EUR
2020
From: 2020-09-08
To: 2020-12-31
2021
From: 2021-01-01
To: 2021-12-31
2022
From: 2022-01-01
To: 2022-12-31
2023
From: 2023-01-01
To: 2023-12-31
2024
From: 2024-01-01
To: 2024-12-31
2025
From: 2025-01-01
To: 2025-12-31
Financial data
Sales revenue 14,952 63,359 64,974 108,243 92,275 59,034
Profit before tax 7,355 48,943 39,979 86,389 64,498 32,333
Net profit 6,252 41,574 33,978 82,085 61,273 30,449
Equity 8,752 50,326 84,304 166,389 212,462 242,911
Liabilities 7,280 8,503 10,356 5,301 53,670 63,818
Non-current assets 0 35,254 40,000 118,000 127,378 141,607
Current assets 16,032 70,897 101,955 53,491 138,444 164,591
Total assets 16,032 106,151 141,955 171,491 265,822 306,198
Taxes paid
STI taxes - - - 28,641 21,704 12,400
Financial indicators
Revenue change y/y - +323.7% +2.5% +66.6% -14.8% -36.0%
ROA Return on Assets (ROA). The ratio of net profit to assets. Indicates the company's efficiency. 39.0% 39.2% 23.9% 47.9% 23.1% 9.9%
ROE Return on equity. The ratio of net profit to equity. Shows the return to shareholders. 71.4% 82.6% 40.3% 49.3% 28.8% 12.5%
Profit margin Net profit margin. Shows the overall profitability of the company. 41.8% 65.6% 52.3% 75.8% 66.4% 51.6%
EBT% EBT (Earnings Before Taxes) to revenue ratio. Shows the overall profitability of the company. 49.2% 77.2% 61.5% 79.8% 69.9% 54.8%
Liabilities/Equity The debt-to-equity ratio shows the company's capital structure. 0.8 0.2 0.1 0.0 0.3 0.3
Revenue per employee Ratio of revenue to the average annual number of employees. Indicates company efficiency. 8,544 31,680 32,487 72,162 92,275 59,034

Purchase full financial statements

Profit/Loss, Balance Sheet, Cash Flow, Equity

9.99 € + PVM Buy

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Tagri konsultacijos - Social security debts

The amount of overdue SODRA debt for the company Tagri konsultacijos as of the last working day is: 0 €

From To Debt, €
2026-09-16 2026-09-16 0.21
2026-09-05 2026-09-10 1.70
2026-08-26 2026-09-02 1.70
2026-08-23 2026-08-23 1.70
2026-08-19 2026-08-19 1.70
2026-07-19 2026-07-22 1.51
2026-07-16 2026-07-17 1.51
2026-06-17 2026-07-14 1.51
2026-06-16 2026-06-16 282.64
2026-06-11 2026-06-15 3.02
2026-05-17 2026-06-08 3.02
2026-05-03 2026-05-07 0.03
2026-04-24 2026-04-29 0.03
2026-03-27 2026-03-27 12.22
2026-03-17 2026-03-24 12.22
2025-05-16 2025-05-18 264.62
2023-05-16 2023-06-13 0.15
2023-05-02 2023-05-08 0.15
2023-04-18 2023-04-28 0.15
2023-03-16 2023-04-10 0.15
2023-02-17 2023-03-08 0.15
2023-02-06 2023-02-12 0.15
2023-01-17 2023-02-03 0.15
2022-11-21 2022-12-13 0.15
2022-11-17 2022-11-18 0.15
2022-10-28 2022-11-13 0.15
2022-10-18 2022-10-27 0.01
2022-09-16 2022-10-12 0.01
2022-08-23 2022-09-13 0.01
2022-07-25 2022-08-10 0.01
2022-07-18 2022-07-24 45.29
2022-06-16 2022-07-17 0.01
2022-05-17 2022-06-14 0.01
2022-04-19 2022-05-08 0.01
2022-03-16 2022-04-10 0.01
2022-02-17 2022-03-09 0.01
2022-01-18 2022-02-06 0.01
2021-12-16 2021-12-28 0.01
2021-11-16 2021-12-13 0.01
2021-11-05 2021-11-14 0.01

Tagri konsultacijos - VMI tax arrears

The company had no tax arrears (debts) to the State Tax Inspectorate

VMI debt information has been collected since 2024-10-07. Debts for older periods will not be displayed.

Analysis of the company's financial position

This description was generated by artificial intelligence. Report if inaccurate.
Tagri konsultacijos, UAB (code 305620563) is a Private Limited Liability Company engaged in business and other management consultancy activities. In 2025, the company generated €59.0K in revenue and €30.4K in net profit, with a profit margin of 51.6%. Revenue declined by 36.0% year on year and by 45.5% over two years, reflecting a smaller top line than in 2024 and 2023. Despite this decrease, profitability remained solid, although net profit also moved down from €61.3K in 2024 and €82.1K in 2023. The balance sheet continued to expand: total assets increased to €306.2K in 2025 from €265.8K in 2024 and €171.5K in 2023. Equity rose to €242.9K, while liabilities stood at €63.8K. The company’s equity ratio was 79.3%, debt-to-equity 0.26, ROE 12.5% and ROA 9.9%. Asset turnover was 0.19x. Revenue per employee was €59.0K, and profit per employee was €30.4K in 2025.