Revenue
€1,567,777
2024 · latest filed year
Employees
14
2026-06
Average wage
€4,188
monthly, before tax
Tax arrears
No recorded arrears
No data
Company overview
AI researchA source-linked overview of the company's activities based on public information.
UAB Betono takas installs industrial concrete floors and performs floor-concreting work with materials for construction and production properties.
Primary activity
Products and services
Sources
Researched: 26 August 2026 · Confidence: Medium · This overview was prepared by AI. Verify important claims with the linked primary sources.
Registry information
- Company code
- 301171007
- Legal form
- Private Limited Liability Company
- Status
- No legal proceedings
- Registered
- 25 October 2007
- Municipality
- Panevėžio rajono
- Registered office
- Panevėžys, Rėklių g. 14, LT-35291
- Office registered since
- 5 August 2020
- Office data updated
- 7 August 2026
Insolvency proceedings
Official AVNT company bankruptcy and restructuring data. Administrator identities and contact details are not shown.
- Active proceeding
- No
- Proceedings on record
- 0
VAT information
- VAT registered
- Yes
- VAT number
- LT100003547310
- VAT registered on
- 8 November 2007
- Of which overdue
- €0
Primary activity
- EVRK code
- 433300
- Primary activity
- Not provided
- Employees
- 14 (2026-06)
- Average wage
- €4,188
Participant structure
Only aggregate participant counts are published, without personal data.
- Total participants
- 1
- Lithuanian natural persons
- 1
- Lithuanian legal persons
- 0
- Foreign natural persons
- 0
- Foreign legal persons
- 0
- Has foreign participants
- No
Online presence
A website and its published information are shown only after its link to the legal entity is verified.
No verified company website has been found yet.
Tax and public procurement
A summary of taxes paid from VMI and contracts published by the Public Procurement Office.
- Taxes paid year to date
- —
- Reporting period
- —
- Public contracts
- 2
- Total contract value
- €7,078
- Latest contract
- 31 March 2021
Financials
Key figures from the company's filed annual financial statements.
| Year | Revenue | Profit before tax | Net profit | Total assets | Equity |
|---|---|---|---|---|---|
| 2024 | €1,567,777 | €22,817 | €19,890 | €460,239 | €296,655 |
| 2023 | €1,522,088 | €15,267 | €12,782 | €345,445 | €276,765 |
| 2022 | €1,760,199 | €31,658 | €27,794 | €315,490 | €263,983 |
| 2021 | €1,872,502 | €29,278 | €22,662 | €423,574 | €236,189 |
| 2020 | €976,720 | €1,605 | €1,364 | €348,033 | €213,527 |
| 2019 | €1,143,436 | €47,650 | €40,502 | €457,708 | €212,164 |
Filed: 29 May 2025
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Sources: State Enterprise Centre of Registers, VMI, Sodra and the Public Procurement Office. Website ownership is checked against .lt domain data and legal-entity details published on the website. Open data is licensed under CC BY 4.0.