Company overview
Basic information
Company name
Renginiaipro, MB
Company code
307068206
Registered address
Plungės r. sav., Babrungo sen., Jovaišiškės k., Kalno g. 3, LT-90107
Registration date
2025-01-15
Company age: 1 y. 9 mo.
Contact information
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Phone
Presented as an image – cannot be copied
Email
Not disclosed
(personal)
Website
https://www.renginiaipro.lt
Company manager
For registered members only
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Indicators
Risk factors
Activity
Legal form
Small partnership
NACE activity
Other support activities to arts and performing arts
Ownership form
Private without foreign capital
MB "Renginiaipro"
Company code: 307068206
Address: Plungės r. sav., Babrungo sen., Jovaišiškės k., Kalno g. 3, LT-90107
Description
This description was generated by artificial intelligence.
Renginiaipro, MB (company code 307068206) is an operational private small partnership registered in 2025. It is classified as a micro-sized private non-financial company under private ownership, with a governance structure described as CEO only. The company is based in Jovaišiškes village, Babrungas eldership, Plunge district municipality, Telšiai County.
The company operates under EVRK code S.90.39.00, covering other support activities to arts and performing arts. Its activity profile therefore relates to support services connected with artistic creation and stage arts.
For the financial year 2025, covering 350 days, the company generated revenue of EUR 41.5K and net profit of EUR 13.2K, resulting in a profit margin of 31.9%. Equity stood at EUR 20.6K, liabilities at EUR 4.3K, and total assets at EUR 25.0K. Long-term assets were EUR 1.9K and short-term assets EUR 23.1K. The latest reported metrics also show return on equity of 64.2%, return on assets of 53.0%, an equity ratio of 82.6%, debt to equity of 0.21, and asset turnover of 1.66x.
The company operates under EVRK code S.90.39.00, covering other support activities to arts and performing arts. Its activity profile therefore relates to support services connected with artistic creation and stage arts.
For the financial year 2025, covering 350 days, the company generated revenue of EUR 41.5K and net profit of EUR 13.2K, resulting in a profit margin of 31.9%. Equity stood at EUR 20.6K, liabilities at EUR 4.3K, and total assets at EUR 25.0K. Long-term assets were EUR 1.9K and short-term assets EUR 23.1K. The latest reported metrics also show return on equity of 64.2%, return on assets of 53.0%, an equity ratio of 82.6%, debt to equity of 0.21, and asset turnover of 1.66x.
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