Company information

"4BF TRUST Company" SIA

4BF TRUST COMPANY

Sargu iela 22, Jelgava, LV-3008

Registration No.

40203316530

Status

Removed from the register

Register

Commercial Register

Registered on

2021-05-10 – 2024-06-21

Legal form

Limited Liability Company

Equity capital

Paid-up equity 2800 €

Registered payment 2021-05-10

Financial key indicatorsLatest year: 2023

Overall financial risk (latest available year)

Moderate financial risk

LiquiditySolvencyProfitability

This summary is based only on the publicly available balance sheet, income statement and, if present, cash flow statement. For small and micro entities some indicators may be missing.

Turnover

21,426 EUR

Net result

-9,842 EUR

Margin: -45.9%

Balance sheet size

867 EUR

Equity: 867 EUR (100.0%)

Liquidity (short-term payments)

Not enough data

Current and quick ratios cannot be calculated from the available balance sheet fields.

Current ratio
Not available
Quick ratio
Not available

Solvency (capital strength)

Solid

A significant part of the company is financed by its own capital, which usually means lower long-term financial risk.

Equity ratio
100.0%
Debt-to-assets
0.0%

Profitability & cash flow

Loss-making

The company reports a loss for the year, which increases financial risk if it continues over several periods.

Net margin
-45.9%
Return on assets (ROA)
-1135.2%
Operating cash flow
Not available (cash flow statement may not be required for small companies)

Simple trend (last 3 years)

Colour hints show improvement or deterioration across years.

YearTurnoverNet marginEquity ratioCurrent ratio
202321,426-45.9%100.0%
202239,27747.0%100.0%
20217,500-140.6%-342.9%0.2

Trends are indicative only. Small changes can be caused by rounding, classification or changes in reporting format.

Key metrics by year

Each column shows one reporting year. Some metrics may be missing if they are not required in the filed report.

Metric202320222021
Turnover21,42639,2777,500
Net result-9,84218,451-10,542
Net margin-45.9%47.0%-140.6%
Return on assets (ROA)-1135.2%172.3%-466.9%
Equity ratio100.0%100.0%-342.9%
Debt-to-assets0.0%0.0%442.9%
Current ratio0.2
Quick ratio0.2
Operating cash flow

Values are derived from the published balance sheet, income statement and cash flow statement (if available). A missing value usually means that the line item is not reported or not required for that entity size.

Meta

Label202320222021
Year Started2023-01-012022-01-012021-05-10
Year Ended2023-12-312022-12-312021-12-31
Report date2024-05-282023-05-222022-07-15
CurrencyEUREUREUR
Rounded ToONESONESONES
Source SchemaDokGPv1DokGPv1DokGPv1
Source TypeUGPUGPUGP

Balance sheet

Per year

Label202320222021
Cash86710,7092,258
Current Assets86710,7092,258
Total Assets86710,7092,258
Current Liabilities0010,000
Equity86710,709-7,742
Total86710,7092,258

Income statement

Per year

Label202320222021
Net Turnover21,42639,2777,500
Cost of Goods Sold31,26818,95118,042
Gross Profit-9,84220,326-10,542
Income Before Income Taxes-9,84220,326-10,542
Provision For Income Taxes01,8750
Income After Income Taxes-9,84218,451-10,542
Net Income-9,84218,451-10,542