FONDUL DE GARANTARE SI CREDITARE OÜRegistered
Key figures
239 991 €+167,0%
Revenue 2025
+167,0%
Average annual growth 2024–2025
Ratios
202523,3%
Profit margin
100,0%
Equity ratio
2503×
Current ratio
55,9%
Return on equity
875 €
Average gross salary
Balance sheet structure
Current assetsNon-current assetsLiabilitiesEquity
Quarterly figures
| Quarter | Revenue | Number of employees | Labour taxes |
|---|---|---|---|
| Q2 2026 | 36 772 € | 1 | 1169 € |
| Q1 2026 | 69 300 € | 1 | 1169 € |
| Q4 2025 | 121 960 € | 1 | 1169 € |
| Q3 2025 | 32 930 € | 1 | — |
| Q2 2025 | 59 504 € | — | — |
| Q1 2025 | 45 914 € | 1 | 0 € |
Source: Tax Board open data — based on VAT returns, may not exactly match revenue in the annual report. Updated quarterly.
Summary of financial statements2024–2025
| 2024 | 2025 | |
|---|---|---|
| Balance sheet — assets | ||
| Total current assets | 44 171 | 100 130 |
| Total non-current assets | — | — |
| Total assets | 44 171 | 100 130 |
| Balance sheet — liabilities and equity | ||
| Current liabilities | — | 40 |
| Non-current liabilities | — | — |
| Total liabilities | — | 40 |
| Share capital | 4900 | 4900 |
| Retained earnings of previous periods | — | 39 271 |
| Profit for the year | 39 271 | 55 919 |
| Total equity | 44 171 | 100 090 |
| Income statement | ||
| Sales revenue | 89 870 | 239 991 |
| Operating profit | 38 835 | 56 165 |
| Profit before income tax | 39 271 | 55 919 |
| Profit for the reporting year | 39 271 | 55 919 |
| Labour costs | 0 | 2653 |
| Depreciation of non-current assets | — | — |
| Other indicators | ||
| Employees | 0 | 1 |
| Calculated dividend | — | 0 |
A dash (—) means the report has not been filed or the line is not reported; 0 is a zero stated in the report.
Connections graph
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Annual reportsPDF, XBRL
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Source: e-Business Register (RIK). Files open/download directly from the official register.
Related companies
Same activity — Other financial services n.e.c., except insurance and pension funding