UAB "KETRONA NT"

JAR Code: 305634463

Active

Financial Reports

2022202320242025
Revenue112 017112 017141 787229 822
Profit Before Tax100 763105 57776 945125 850
Net Profit85 64989 74065 403105 714
Profit margin76.5%80.1%46.1%46.0%
Equity207 027218 767282 375310 089
Liabilities44 41046 17344 50062 624
Total Assets251 437264 940326 875372 713

Financial Reports

2025

Balance Sheet

Total Assets372 713 €
Long-term Assets38 132 €
Short-term Assets334 581 €
Equity310 089 €
Liabilities62 624 €

Profit & Loss Statement

Revenue229 822 €
Profit Before Tax125 850 €
Net Profit105 714 €
2024

Balance Sheet

Total Assets326 875 €
Long-term Assets42 010 €
Short-term Assets284 865 €
Equity282 375 €
Liabilities44 500 €

Profit & Loss Statement

Revenue141 787 €
Profit Before Tax76 945 €
Net Profit65 403 €
2023

Balance Sheet

Total Assets264 940 €
Long-term Assets45 887 €
Short-term Assets219 053 €
Equity218 767 €
Liabilities46 173 €

Profit & Loss Statement

Revenue112 017 €
Profit Before Tax105 577 €
Net Profit89 740 €
2022

Balance Sheet

Total Assets251 437 €
Long-term Assets49 765 €
Short-term Assets201 672 €
Equity207 027 €
Liabilities44 410 €

Profit & Loss Statement

Revenue112 017 €
Profit Before Tax100 763 €
Net Profit85 649 €
2021

Balance Sheet

Total Assets162 516 €
Long-term Assets53 642 €
Short-term Assets108 874 €
Equity121 378 €
Liabilities41 138 €

Profit & Loss Statement

Revenue102 746 €
Profit Before Tax58 105 €
Net Profit49 389 €
Period(2020-10-05 – 2020-12-31)3 mėn.

Balance Sheet

Total Assets106 781 €
Long-term Assets57 520 €
Short-term Assets49 261 €
Equity71 988 €
Liabilities34 793 €

Profit & Loss Statement

Revenue18 669 €
Profit Before Tax18 007 €
Net Profit15 306 €

Source: Registrų centras