UAB "Weffer"

JAR Code: 305548690

Active

Financial Reports

2022202320242025
Revenue1 845 9282 254 9053 707 1343 798 661
Profit Before Tax110 11568 407101 865−1 938
Net Profit92 85455 99383 236−7 283
Profit margin5.0%2.5%2.2%-0.2%
Equity148 700187 692185 964178 680
Liabilities340 252444 677768 816571 619
Total Assets488 225631 371941 625734 935

Financial Reports

2025Submitted: 2026-05-30

Balance Sheet

Total Assets734 935 €
Long-term Assets148 652 €
Short-term Assets586 283 €
Equity178 680 €
Liabilities571 619 €

Profit & Loss Statement

Revenue3 798 661 €
Profit Before Tax−1 938 €
Net Profit−7 283 €
2024Submitted: 2025-05-12

Balance Sheet

Total Assets941 625 €
Long-term Assets228 899 €
Short-term Assets712 726 €
Equity185 964 €
Liabilities768 816 €

Profit & Loss Statement

Revenue3 707 134 €
Profit Before Tax101 865 €
Net Profit83 236 €
2023Submitted: 2024-03-06

Balance Sheet

Total Assets631 371 €
Long-term Assets89 111 €
Short-term Assets542 260 €
Equity187 692 €
Liabilities444 677 €

Profit & Loss Statement

Revenue2 254 905 €
Profit Before Tax68 407 €
Net Profit55 993 €
2022Submitted: 2023-03-06

Balance Sheet

Total Assets488 225 €
Long-term Assets75 222 €
Short-term Assets413 003 €
Equity148 700 €
Liabilities340 252 €

Profit & Loss Statement

Revenue1 845 928 €
Profit Before Tax110 115 €
Net Profit92 854 €
2021Submitted: 2022-02-22

Balance Sheet

Total Assets329 447 €
Long-term Assets6 081 €
Short-term Assets323 366 €
Equity74 846 €
Liabilities254 610 €

Profit & Loss Statement

Revenue1 273 187 €
Profit Before Tax67 277 €
Net Profit57 092 €
2020(2020-05-12 – 2020-12-31)8 mėn.Submitted: 2021-05-04

Balance Sheet

Total Assets118 079 €
Long-term Assets0 €
Short-term Assets118 079 €
Equity17 754 €
Liabilities100 504 €

Profit & Loss Statement

Revenue239 702 €
Profit Before Tax15 254 €
Net Profit15 254 €

Source: Registrų centras