Lithuanian company registry

ActiveNo legal proceedings

UAB "Hipotekiniai kreditai"

Company code 304374977Kauno miestoPrivate Limited Liability Company

Profile updated

8 August 2026

Revenue

€3,164,702

2024 · latest filed year

Employees

2

2026-06

Average wage

monthly, before tax

Tax arrears

No recorded arrears

No data

Company overview

AI research

A source-linked overview of the company's activities based on public information.

UAB Hipotekiniai kreditai is a Bank of Lithuania-supervised real-estate-related credit provider and intermediary offering property-secured loans to individuals and legal entities across Lithuania.

Sources

Researched: 24 August 2026 · Confidence: High · This overview was prepared by AI. Verify important claims with the linked primary sources.

Registry information

Company code
304374977
Legal form
Private Limited Liability Company
Status
No legal proceedings
Registered
30 August 2016
Municipality
Kauno miesto
Registered office
Kaunas, V. Putvinskio g. 62, LT-44211
Office registered since
3 April 2018
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
LT100010695113
VAT registered on
8 February 2017
Of which overdue
€0

Primary activity

EVRK code
649900
Primary activity
Not provided
Employees
2 (2026-06)
Average wage

Participant structure

Only aggregate participant counts are published, without personal data.

Total participants
7
Lithuanian natural persons
6
Lithuanian legal persons
1
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
€62,179
Reporting period
June 2026
Public contracts
0
Total contract value
Latest contract

Financials

Key figures from the company's filed annual financial statements.

YearRevenueProfit before taxNet profitTotal assetsEquity
2024€3,164,702€1,417,063€1,305,169€26,043,038€3,161,348
2023€2,771,843€1,097,133€1,049,726€22,327,859€1,856,179
2022€1,789,220€511,917€485,256€15,215,865€1,006,453
2021€1,067,216€307,729€271,597€11,820,502€521,196
2020€895,185€368,448€324,789€8,704,325€249,648
2019€385,455-€37,165-€50,716€5,452,813-€75,141

Filed: 17 June 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.