TikeCruise S.à r.l.
Total Assets
€150K
Equity
€124K
Total equity, calculated from disclosed equity components.
Operating Costs
€-9K
Sum of operating cost lines disclosed in the abridged income statement. Net turnover is not disclosed under Luxembourg's abridged-P&L regime.
Net Profit
€-4.3M
Equity ratio
83%
Strong
Return on equity
Not meaningful — incomplete balance sheet
Registered address
60, avenue J.F Kennedy, L-1855 Luxembourg
Activity (NACE 64.202)
Financial holdings ("Soparfi")
Constituted
1 January 0001
Registered
1 April 2021
Establishment number
B253052.0
Financials
Abridged Balance Sheet + Abridged P&L · eCDF
| 2023 | 2022 | 2021 | |
|---|---|---|---|
| Net income | €-4.3M | €-28K | €-15K |
| Equity | €124K | €4.4M | €4.4M |
| Total assets | €150K | €4.4M | €4.4M |
Establishments
- TikeCruise S.à r.l. principal 60, avenue J.F Kennedy, L-1855, Luxembourg
Filings
-
Deletion
- 22 October 2024 -
Modification
Voluntary liquidation 8 October 2024 -
Annual accounts (eCDF)
Exercise from 01/01/2023 to 31/12/2023 2 August 2024 -
Annual accounts (eCDF) (correction)
Exercise from 17/03/2021 to 31/12/2021 2 August 2024 -
Annual accounts (eCDF) (correction)
Exercise from 01/01/2022 to 31/12/2022 2 August 2024 -
Annual accounts (eCDF)
Exercise from 01/01/2022 to 31/12/2022 10 November 2023 -
Annual accounts (eCDF)
Exercise from 17/03/2021 to 31/12/2021 27 December 2022 -
Articles of association
- 27 April 2021 -
Modification
Social capital/social funds Associate(s) 27 April 2021 -
Registration
- 1 April 2021
Full credit report
Ratios, peer benchmarks, risk scoring and a downloadable PDF for TikeCruise S.à r.l..