Xe
Chiffres clés financiers | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2013 | 2012 | 2010 | 2009 | 2008 | 2007 | 2006 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Overzicht | |||||||||||||||
Chiffre d'affaires |
€
29.01M
-4.62%
|
€
30.41M
-0.14%
|
€
30.46M
-7.89%
|
€
33.06M
|
€
33.45M
|
€
43.60M
|
€
50.13M
|
€
29.79M
|
€
92.63M
|
€
104.99M
|
€
102.10M
|
€
102.79M
|
€
109.09M
|
€
127.45M
|
€
128.89M
|
Résultats |
€
981K
740.67%
|
€
117K
103.59%
|
€
-3.25M
-130.46%
|
€
-1.41M
|
€
-2.53M
|
€
-2.50M
|
€
69K
|
€
409K
|
€
204K
|
€
581K
|
€
6.36M
|
€
938K
|
€
814K
|
€
1.81M
|
€
1.23M
|
Fonds propres |
€
9.87M
11.97%
|
€
8.81M
1.44%
|
€
8.69M
-27.78%
|
€
12.03M
|
€
13.50M
|
€
16.03M
|
€
19.26M
|
€
19.19M
|
€
20.61M
|
€
20.41M
|
€
41.86M
|
€
35.50M
|
€
34.56M
|
€
33.74M
|
€
31.93M
|
Employés |
108.40
-5.82%
|
115.10
9.93%
|
104.70
-13.61%
|
121.20
|
148.10
|
168.80
|
187.80
|
213.10
|
252.60
|
257.30
|
302.90
|
321.60
|
347.90
|
340.60
|
348.80
|
Dividendes |
€
723K
|
€
4.00M
|
€
24.00M
|
||||||||||||
Limite de crédit |
€
1.18M
11.97%
|
€
1.06M
1.44%
|
€
1.04M
-27.78%
|
€
1.44M
|
€
1.62M
|
€
1.92M
|
€
2.31M
|
€
2.30M
|
€
2.47M
|
€
2.45M
|
€
5.53M
|
€
4.26M
|
€
4.15M
|
€
4.05M
|
€
3.83M
|
Impôts |
€
491K
-23.62%
|
€
643K
44.24%
|
€
446K
-26.19%
|
€
604K
|
€
630K
|
€
106K
|
€
777K
|
€
483K
|
€
1.40M
|
€
705K
|
€
5.28M
|
€
2.62M
|
€
3.19M
|
€
3.41M
|
€
3.54M
|
Rémunérations et charges sociales |
€
1.73M
|
€
2.24M
|
€
2.05M
|
€
2.69M
|
€
2.21M
|
€
3.10M
|
€
3.06M
|
€
3.47M
|
€
3.58M
|
€
3.52M
|
€
4.91M
|
€
6.20M
|
€
4.73M
|
€
4.63M
|
€
4.57M
|
Rentabilité | |||||||||||||||
EBITDA |
€
1.21M
396.38%
|
€
243K
108.07%
|
€
-3.01M
-188.13%
|
€
-1.05M
|
€
-1.47M
|
€
-3.51M
|
€
989K
|
€
1.83M
|
€
1.15M
|
€
390K
|
€
9.38M
|
€
-2.92M
|
€
4.63M
|
€
993K
|
€
848K
|
EBIT |
€
981K
740.67%
|
€
117K
103.59%
|
€
-3.25M
-130.46%
|
€
-1.41M
|
€
-2.25M
|
€
-4.08M
|
€
760K
|
€
1.54M
|
€
803K
|
€
110K
|
€
9.06M
|
€
-3.31M
|
€
4.02M
|
€
300K
|
€
382K
|
Net profit |
€
1.06M
744.56%
|
€
125K
103.74%
|
€
-3.34M
-127.56%
|
€
-1.47M
|
€
-2.53M
|
€
-2.50M
|
€
74K
|
€
414K
|
€
209K
|
€
586K
|
€
6.37M
|
€
943K
|
€
819K
|
€
1.81M
|
€
1.24M
|
Capex |
€
224K
-44.66%
|
€
405K
148.38%
|
€
-838K
-34.9%
|
€
-621K
|
€
268K
|
€
330K
|
€
-458K
|
€
1.53M
|
€
138K
|
€
37K
|
€
44K
|
€
84K
|
€
394K
|
€
288K
|
€
452K
|
Liquidité | |||||||||||||||
Cash |
€
379K
-56.54%
|
€
872K
50.51%
|
€
579K
-15.36%
|
€
684K
|
€
448K
|
€
449K
|
€
397K
|
€
339K
|
€
1K
|
€
640K
|
€
369K
|
€
607K
|
€
362K
|
€
890K
|
€
1.27M
|
Cashflow |
€
853K
27.12%
|
€
671K
124.07%
|
€
-2.79M
16.48%
|
€
-3.34M
|
€
-1.91M
|
€
-1.33M
|
€
104K
|
€
-159K
|
€
518K
|
€
867K
|
€
7.56M
|
€
1.16M
|
€
1.42M
|
€
2.50M
|
€
1.67M
|
Current ratio |
2.00
6.95%
|
1.87
8.72%
|
1.72
-8.51%
|
1.88
|
2.08
|
2.01
|
2.17
|
1.66
|
1.89
|
1.80
|
2.39
|
1.95
|
2.12
|
2.00
|
1.78
|
Quick ratio |
2.19
7.88%
|
2.03
8.56%
|
1.87
-8.78%
|
2.05
|
2.41
|
2.34
|
2.82
|
2.17
|
1.89
|
1.80
|
3.48
|
2.78
|
2.54
|
2.25
|
1.98
|
Working capital |
€
7.62M
9.81%
|
€
6.94M
6.6%
|
€
6.51M
-26.81%
|
€
8.89M
|
€
10.77M
|
€
13.06M
|
€
15.93M
|
€
15.26M
|
€
15.39M
|
€
14.40M
|
€
44.50M
|
€
29.51M
|
€
31.80M
|
€
27.32M
|
€
27.42M
|
Working capital ratio |
2.27
6.57%
|
2.13
7.58%
|
1.98
-6.6%
|
2.12
|
2.50
|
2.37
|
2.56
|
1.93
|
1.89
|
1.80
|
2.83
|
2.29
|
2.31
|
2.12
|
1.87
|
Solvabilité | |||||||||||||||
Total de l'actif |
€
17.50M
1.65%
|
€
17.21M
-2.95%
|
€
17.74M
-20.52%
|
€
22.31M
|
€
25.72M
|
€
31.34M
|
€
34.64M
|
€
44.15M
|
€
39.38M
|
€
39.52M
|
€
82.49M
|
€
67.25M
|
€
67.30M
|
€
62.22M
|
€
70.66M
|
Dettes |
€
7.63M
-4.31%
|
€
7.97M
-11.82%
|
€
9.04M
-10.99%
|
€
10.16M
|
€
9.98M
|
€
12.91M
|
€
13.58M
|
€
22.97M
|
€
17.28M
|
€
18.01M
|
€
31.97M
|
€
31.20M
|
€
28.51M
|
€
27.37M
|
€
35.16M
|
Solvabilité |
56.41%
10.15%
|
51.21%
4.53%
|
48.99%
-9.14%
|
53.92%
|
52.51%
|
51.17%
|
55.6%
|
43.46%
|
52.35%
|
51.64%
|
50.74%
|
52.78%
|
51.35%
|
54.23%
|
45.19%
|
Ratio de la dette à long terme | |||||||||||||||
Interest Coverage Ratio |
94,227.62
|
8,816.55
|
604.02
|
1,025.96
|
477.82
|
879.99
|
991.27
|
||||||||
Rentabilité | |||||||||||||||
Rentabilité brute |
8.65%
13.52%
|
7.62%
123.74%
|
-32.1%
-15.63%
|
-27.76%
|
-14.14%
|
-8.31%
|
0.54%
|
-0.83%
|
2.51%
|
4.25%
|
18.07%
|
3.25%
|
4.12%
|
7.42%
|
5.22%
|
Rentabilité nette |
10.69%
652.82%
|
1.42%
103.69%
|
-38.47%
-214.55%
|
-12.23%
|
-18.74%
|
-15.59%
|
0.36%
|
2.13%
|
0.99%
|
2.85%
|
15.2%
|
2.64%
|
2.35%
|
5.36%
|
3.86%
|
Return On Assets (ROA) |
6.03
730.86%
|
0.73
103.85%
|
-18.84
-185.77%
|
-6.59
|
-9.84
|
-7.98
|
0.20
|
0.93
|
0.52
|
1.47
|
7.71
|
1.40
|
1.21
|
2.91
|
1.75
|
Return On Equity (ROE) |
10.69
654.26%
|
1.42
103.69%
|
-38.47
-214.5%
|
-12.23
|
-18.74
|
-15.59
|
0.36
|
2.13
|
0.99
|
2.85
|
15.20
|
2.64
|
2.35
|
5.36
|
3.86
|
Efficacité | |||||||||||||||
Crédit client |
46.92
-16.03%
|
55.88
-8.56%
|
61.11
-4.14%
|
63.75
|
58.84
|
60.59
|
47.70
|
169.10
|
38.03
|
27.69
|
42.91
|
44.14
|
88.62
|
75.94
|
99.30
|
Crédit fournisseur |
83.04
16.32%
|
71.39
-21.28%
|
90.69
1.48%
|
89.37
|
88.79
|
95.93
|
79.01
|
605.53
|
43.37
|
45.80
|
38.49
|
41.42
|
46.44
|
29.74
|
68.79
|
Inventory Turnover Ratio |
4.29
7.23%
|
4.00
5.89%
|
3.77
-13.56%
|
4.37
|
4.30
|
6.08
|
8.89
|
0.00
|
|||||||
Days Sales Outstanding (DSO) |
46.92
-16.03%
|
55.88
-8.57%
|
61.11
-4.13%
|
63.75
|
58.84
|
60.59
|
47.70
|
169.10
|
38.03
|
27.69
|
42.91
|
44.14
|
88.62
|
75.94
|
99.30
|
Days Sales of Inventory (DSI) |
83.05
-0.4%
|
83.39
-14.08%
|
97.05
16.69%
|
83.17
|
84.08
|
65.07
|
46.47
|
198,904.40
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
0.00
|
L'équilibre social | |||||||||||||||
Employés |
108.40
-5.82%
|
115.10
9.93%
|
104.70
-13.61%
|
121.20
|
148.10
|
168.80
|
187.80
|
213.10
|
252.60
|
257.30
|
302.90
|
321.60
|
347.90
|
340.60
|
348.80
|
Summary financial health
Prêt à commencer?
Accédez immédiatement aux comptes annuels officiels, aux administrateurs et aux informations de crédit de chaque entreprise belge. Aucune connaissance préalable requise.
