MU
Chiffres clés financiers | 2023 | 2022 | 2021 | 2020 |
---|---|---|---|---|
Overzicht | ||||
Résultats |
€
6K
-94.6%
|
€
105K
1075.23%
|
€
9K
22.61%
|
€
7K
|
Fonds propres |
€
114K
1.22%
|
€
113K
224.58%
|
€
35K
34.44%
|
€
26K
|
Marge brute |
€
7K
-93.33%
|
€
106K
1046.83%
|
€
9K
16.65%
|
€
8K
|
Dividendes | ||||
Limite de crédit |
€
14K
-7.98%
|
€
15K
224.58%
|
€
5K
34.44%
|
€
3K
|
Rentabilité | ||||
EBITDA |
€
6K
-94.32%
|
€
105K
1078.65%
|
€
9K
17.53%
|
€
8K
|
EBIT |
€
6K
-94.6%
|
€
105K
1075.23%
|
€
9K
22.45%
|
€
7K
|
Net profit |
€
1K
-98.52%
|
€
93K
941.3%
|
€
9K
22.61%
|
€
7K
|
Capex |
-
|
-
|
€
1K
|
|
Liquidité | ||||
Cash |
€
32K
|
€
35K
|
||
Cashflow |
€
2K
-98.19%
|
€
93K
944.72%
|
€
9K
17.68%
|
€
8K
|
Current ratio |
18.24
81.49%
|
10.05
93.27%
|
5.20
-12.9%
|
5.97
|
Quick ratio |
18.24
81.49%
|
10.05
93.27%
|
5.20
-12.9%
|
5.97
|
Working capital |
€
114K
1.49%
|
€
113K
229.48%
|
€
34K
35.27%
|
€
25K
|
Working capital ratio |
18.24
81.49%
|
10.05
93.27%
|
5.20
-12.9%
|
5.97
|
Solvabilité | ||||
Total de l'actif |
€
121K
-3.53%
|
€
125K
192.05%
|
€
43K
38.63%
|
€
31K
|
Dettes |
€
7K
-46.68%
|
€
12K
52.91%
|
€
8K
60%
|
€
5K
|
Solvabilité |
94.52%
4.93%
|
90.08%
11.14%
|
81.05%
-3.03%
|
83.58%
|
Ratio de la dette à long terme | ||||
Interest Coverage Ratio | ||||
Rentabilité | ||||
Rentabilité brute |
1.47%
-98.22%
|
82.45%
221.82%
|
25.62%
-12.44%
|
29.26%
|
Rentabilité nette |
1.2%
-98.54%
|
82.18%
220.77%
|
25.62%
-8.79%
|
28.09%
|
Return On Assets (ROA) |
1.14
-98.46%
|
74.02
256.55%
|
20.76
-11.56%
|
23.47
|
Return On Equity (ROE) |
1.20
-98.54%
|
82.18
220.81%
|
25.62
-8.8%
|
28.09
|
Efficacité | ||||
Crédit client | ||||
Crédit fournisseur | ||||
Inventory Turnover Ratio | ||||
Days Sales Outstanding (DSO) | ||||
Days Sales of Inventory (DSI) | ||||
L'équilibre social | ||||
Employés |
Prêt à commencer?
Découvrez la situation financière de clients, fournisseurs ou partenaires commerciaux potentiels en consultant les informations officielles et les chiffres clés.
