Company overview
Basic information
Company name
MOTO Aitvarai, VšĮ
Company code
307038177
Registered address
Vilnius, Sviliškių g. 15-65, LT-06154
Registration date
2024-12-02
Company age: 1 y. 10 mo.
Contact information
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Phone
Presented as an image – cannot be copied
Email
Presented as an image – cannot be copied
Website
None
Company manager
For registered members only
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Indicators
Risk factors
Activity
Legal form
Public Institution
NACE activity
Activities of sports clubs
Sector
Namų ūkiams paslaugas teikiančios ne pelno institucijos
Ownership form
Private without foreign capital
Beneficiary of support
Yes, since 2024-12-13
NVO
Non-governmental organization since 2025-01-08
VšĮ MOTO Aitvarai
Company code: 307038177
Address: Vilnius, Sviliškių g. 15-65, LT-06154
Description
This description was generated by artificial intelligence.
MOTO Aitvarai, VšI (company code 307038177) is an operational public institution registered in 2024 and based in Vilnius, Sviliškiu g. 15-65, Vilniaus m. sav., Vilniaus apskr. It operates under the legal form of a Public Institution and is classified in the sector of non-profit institutions providing services to households. The company is listed as privately owned, with Lithuanian natural and legal persons holding more than 50% of the authorised capital and no foreign investor capital, and its governance is described as CEO only. Its main activity is EVRK S.93.12.00, Activities of sports clubs.
Financially, the company reported a very small first period in 2024 and a full financial year in 2025. In 2025, revenue was €1.7K and net profit was a loss of €452, resulting in a profit margin of -25.8%. Equity stood at €2.7K, total assets at €3.0K, and liabilities at €285. Long-term assets were €3.0K and short-term assets €21. The 2024 period ended with a net loss of €12 and assets of €3.2K. Latest available staff data is for 2026 so far, but no employee or wage figures are provided.
Financially, the company reported a very small first period in 2024 and a full financial year in 2025. In 2025, revenue was €1.7K and net profit was a loss of €452, resulting in a profit margin of -25.8%. Equity stood at €2.7K, total assets at €3.0K, and liabilities at €285. Long-term assets were €3.0K and short-term assets €21. The 2024 period ended with a net loss of €12 and assets of €3.2K. Latest available staff data is for 2026 so far, but no employee or wage figures are provided.
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