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Gr
Financiële kerncijfers | 2023 | 2022 | 2020 | 2019 | 2014 | 2013 | 2012 | 2011 | 2008 | 2006 |
---|---|---|---|---|---|---|---|---|---|---|
Overzicht | ||||||||||
Omzet |
€
107K
7.68%
|
€
100K
-24.99%
|
€
133K
-33.52%
|
€
200K
|
€
127.58M
|
€
79.43M
|
||||
Winst |
€
60K
-0.76%
|
€
61K
162.29%
|
€
23K
-25.52%
|
€
31K
|
€
-2.28M
|
€
42K
|
€
46K
|
€
1.92M
|
€
15.18M
|
€
11.88M
|
Eigen vermogen |
€
-970K
4.49%
|
€
-1.02M
7.29%
|
€
-1.10M
2.08%
|
€
-1.12M
|
€
-1.62M
|
€
669K
|
€
627K
|
€
581K
|
€
1.11M
|
€
54.73M
|
Dividenden |
€
2.26M
|
€
45.68M
|
||||||||
Kredietlimiet |
€
-78K
4.49%
|
€
-81K
7.29%
|
€
-88K
2.08%
|
€
-89K
|
€
-171K
|
€
64K
|
€
60K
|
€
61K
|
€
117K
|
€
7.22M
|
Belastingen |
€
16K
-9.95%
|
€
18K
76.7%
|
€
10K
-23.43%
|
€
13K
|
€
0K
|
€
495K
|
€
596K
|
|||
Bezoldigingen en sociale lasten |
€
1.15M
|
€
1.25M
|
||||||||
Winstgevenheid | ||||||||||
EBITDA |
€
67K
-5.82%
|
€
71K
4.84%
|
€
68K
-13.6%
|
€
78K
|
€
46K
|
€
59K
|
€
45K
|
€
141K
|
€
11.69M
|
€
11.11M
|
EBIT |
€
60K
-0.76%
|
€
61K
59.24%
|
€
38K
-20.42%
|
€
48K
|
€
6K
|
€
14K
|
€
-4K
|
€
84K
|
€
8.34M
|
€
5.52M
|
Net profit |
€
46K
3.59%
|
€
44K
89.38%
|
€
23K
-25.52%
|
€
31K
|
€
-2.28M
|
€
42K
|
€
46K
|
€
1.92M
|
€
15.18M
|
€
14.27M
|
Capex |
€
0K
-200%
|
€
0K
9162596898033.3%
|
€
0K
400%
|
€
0K
|
-
|
€
0K
|
-
|
€
-21K
|
€
1.94M
|
€
3.44M
|
Liquiditeit | ||||||||||
Cash |
€
52K
-63.3%
|
€
141K
1511.52%
|
€
9K
115.54%
|
€
4K
|
€
2K
|
€
2K
|
€
2K
|
€
2K
|
€
163K
|
€
3.77M
|
Cashflow |
€
-20K
84.62%
|
€
-131K
-515.57%
|
€
31K
574.01%
|
€
-7K
|
€
-2.24M
|
€
87K
|
€
95K
|
€
1.98M
|
€
18.69M
|
€
17.64M
|
Current ratio |
0.24
-35.14%
|
0.37
32.14%
|
0.28
7.69%
|
0.26
|
3.18
|
78.84
|
240.93
|
1.92
|
2.09
|
8.00
|
Quick ratio |
0.24
-64.18%
|
0.67
139.29%
|
0.28
7.69%
|
0.26
|
3.18
|
78.84
|
240.93
|
1.92
|
1.96
|
8.10
|
Working capital |
€
-365K
-5.84%
|
€
-344K
-66.51%
|
€
-207K
13.2%
|
€
-238K
|
€
24K
|
€
2.26M
|
€
2.22M
|
€
2.15M
|
€
36.66M
|
€
92.91M
|
Working capital ratio |
0.24
-50%
|
0.48
71.43%
|
0.28
7.69%
|
0.26
|
3.18
|
78.84
|
240.93
|
1.92
|
2.12
|
8.28
|
Solvabiliteit | ||||||||||
Totaal activa |
€
233K
-28.44%
|
€
325K
40.58%
|
€
231K
-11.1%
|
€
260K
|
€
379K
|
€
2.68M
|
€
2.65M
|
€
4.99M
|
€
73.41M
|
€
111.88M
|
Schulden |
€
481K
-12.1%
|
€
547K
89.56%
|
€
289K
-9.72%
|
€
320K
|
€
11K
|
€
29K
|
€
9K
|
€
2.35M
|
€
69.18M
|
€
53.18M
|
Solvabiliteit |
-416.43%
-33.47%
|
-312%
34.05%
|
-473.12%
-10.15%
|
-429.51%
|
-426.85%
|
25.01%
|
23.63%
|
11.66%
|
1.51%
|
48.92%
|
Langetermijnschuldgraad |
32.22
|
0.73
|
||||||||
Interest Coverage Ratio |
-46.56
-10.99%
|
-41.95
|
13.99
|
13.24
|
||||||
Rentabiliteit | ||||||||||
Bruto rentabiliteit |
2.07%
-83.92%
|
12.87%
548.43%
|
-2.87%
-586.44%
|
0.59%
|
138.95%
|
12.94%
|
15.19%
|
340.42%
|
1690.88%
|
32.22%
|
Netto rentabiliteit |
-4.7%
-8.55%
|
-4.33%
-104.25%
|
-2.12%
24.01%
|
-2.79%
|
141.42%
|
6.28%
|
7.32%
|
330.55%
|
1372.9%
|
21.71%
|
Return On Assets (ROA) |
19.57
44.76%
|
13.52
34.71%
|
10.03
-16.22%
|
11.98
|
-603.67
|
1.57
|
1.73
|
38.54
|
20.67
|
10.62
|
Return On Equity (ROE) |
-4.70
-8.46%
|
-4.33
-104.28%
|
-2.12
23.94%
|
-2.79
|
141.42
|
6.28
|
7.32
|
330.55
|
1,372.90
|
21.71
|
Efficiëntie | ||||||||||
Klantenkrediet |
188.44
6.82%
|
176.41
-10.77%
|
197.70
51.48%
|
130.51
|
6.46
|
53.02
|
||||
Leverancierskrediet |
138.53
53.63%
|
90.17
-80.83%
|
470.44
202.49%
|
155.52
|
33.58
|
68.88
|
||||
Inventory Turnover Ratio |
12.17
|
7.12
|
||||||||
Days Sales Outstanding (DSO) |
188.44
6.82%
|
176.41
-10.77%
|
197.70
51.48%
|
130.51
|
6.46
|
53.02
|
||||
Days Sales of Inventory (DSI) |
0.00
|
0.00
|
0.00
|
0.00
|
30.38
|
50.01
|
||||
Sociale balans | ||||||||||
Werknemers |
117.80
|
125.90
|
Summary financial health
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