UAB "Voco Modo"

JAR Code: 305533902

Active

Financial Reports

2021202220232024
Revenue9 26310 22712 10415 711
Net Profit27081341487
Profit margin2.9%0.8%2.8%3.1%
Equity3 3453 4263 7684 256
Liabilities11 17510 41310 43814 672
Total Assets14 52013 83914 20618 928

Financial Reports

2024

Balance Sheet

Total Assets18 928 €
Long-term Assets4 191 €
Short-term Assets14 737 €
Equity4 256 €
Liabilities14 672 €

Profit & Loss Statement

Revenue15 711 €
Profit Before Tax
Net Profit487 €
2023

Balance Sheet

Total Assets14 206 €
Long-term Assets7 149 €
Short-term Assets7 057 €
Equity3 768 €
Liabilities10 438 €

Profit & Loss Statement

Revenue12 104 €
Profit Before Tax
Net Profit341 €
2022

Balance Sheet

Total Assets13 839 €
Long-term Assets9 876 €
Short-term Assets3 963 €
Equity3 426 €
Liabilities10 413 €

Profit & Loss Statement

Revenue10 227 €
Profit Before Tax
Net Profit81 €
2021

Balance Sheet

Total Assets14 520 €
Long-term Assets7 592 €
Short-term Assets6 928 €
Equity3 345 €
Liabilities11 175 €

Profit & Loss Statement

Revenue9 263 €
Profit Before Tax
Net Profit270 €
2020(2020-04-03 – 2020-12-31)9 mėn.

Balance Sheet

Total Assets13 650 €
Long-term Assets2 563 €
Short-term Assets11 087 €
Equity3 075 €
Liabilities10 575 €

Profit & Loss Statement

Revenue13 009 €
Profit Before Tax
Net Profit575 €

Source: Registrų centras