Company overview
Basic information
Company name
Paplūdimio tinklinio varžybos, VšĮ
Company code
306697819
Registered address
Kaunas, Europos pr. 34-47, LT-46370
Registration date
2024-03-06
Company age: 2 y. 6 mo.
Contact information
Edit data
Phone
Email
Presented as an image – cannot be copied
Website
None
Company manager
For registered members only
Log in
Indicators
Risk factors
Activity
Legal form
Public Institution
NACE activity
Other sports activities n.e.c.
Sector
Namų ūkiams paslaugas teikiančios ne pelno institucijos
Ownership form
Private without foreign capital
Beneficiary of support
Yes, since 2024-03-07
NVO
Non-governmental organization since 2024-12-30
VšĮ "Paplūdimio tinklinio varžybos"
Company code: 306697819
Address: Kaunas, Europos pr. 34-47, LT-46370
Download a detailed company report
Make confident decisions with all the information about Paplūdimio tinklinio varžybos, VšĮ. In one document, you will find full financial data, risk and potential assessment, and key Scoris insights.
Description
This description was generated by artificial intelligence.
Papludimio tinklinio varžybos, VšI (company code 306697819) is an operational public institution registered in 2024. It is organised as a public institution under private ownership, with governance limited to a CEO only, and is classified as a micro-sized entity in the sector of non-profit institutions providing services to households. The company’s activity is recorded under EVRK code S.93.19.90, Other sports activities n.e.c. Its registered address is in Kaunas, Europos pr. 34-47, LT-46370, Kauno m. sav., Kauno apskr.
Financially, the company started with very small-scale operations. In 2024, for a 300-day period, it reported revenue of €100 and a net loss of €254, with negative equity of €253 and liabilities of €255. In 2025, for a 364-day period, revenue increased to €1.2K, while equity remained at -€253 and liabilities decreased to €99. The latest year shows a sharp increase in revenue from a very low base, although the company remained in a fragile financial position. Staff information is tracked so far in 2026, but no average employee or wage figures are provided.
Financially, the company started with very small-scale operations. In 2024, for a 300-day period, it reported revenue of €100 and a net loss of €254, with negative equity of €253 and liabilities of €255. In 2025, for a 364-day period, revenue increased to €1.2K, while equity remained at -€253 and liabilities decreased to €99. The latest year shows a sharp increase in revenue from a very low base, although the company remained in a fragile financial position. Staff information is tracked so far in 2026, but no average employee or wage figures are provided.