Very high risk
High risk
Average
Low risk
Very low risk
Financial ratios | 2023 | 2022 | 2021 | 2020 |
---|---|---|---|---|
Equity |
€
-281K
-0.95%
|
€
-278K
-0.03%
|
€
-278K
-0.13%
|
€
-278K
|
Profit |
€
-3K
-4519.65%
|
€
0K
83.6%
|
€
0K
-235.55%
|
€
0K
|
EBITDA |
€
-3K
-4519.65%
|
€
0K
83.6%
|
€
0K
-537.61%
|
€
0K
|
Gross margin |
€
-2K
-3203.77%
|
€
0K
|
€
0K
|
|
Debt |
€
281K
0.99%
|
€
278K
0%
|
€
278K
0.18%
|
€
278K
|
Cash |
€
0K
109.93%
|
€
0K
-48.03%
|
€
0K
294.04%
|
€
0K
|
Directors
All directorsSimilar companies
Show allActivities according to NACEBEL codes
Publications 19
All publicationsMe. - Comptes Annuels 31.12.2015, App 17.06.2016, Dpt 18.08.2016 16440-0114-011
25/08/2016
Me. - Comptes Annuels 31.12.2014, App 19.06.2015, Dpt 14.08.2015 15425-0497-011
19/08/2015
Me. - Comptes Annuels 31.12.2013, App 20.06.2014, Dpt 21.08.2014 14448-0110-011
26/08/2014
FAQ
The VAT number of TARGERA is BE0477.633.740.
TARGERA was founded in 23-05-2002.
The official address of TARGERA is Louis Lepoutrelaan 70 Elsene 1050 .
The juridical form of TARGERA is Naamloze vennootschap.
The legal situation of TARGERA is Normale toestand.
The annual revenue of TARGERA is €0.
Sources
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