Financiële kerncijfers | 2024 | 2023 | 2022 |
---|---|---|---|
Overzicht | |||
Winst |
€
-5K
-116.51%
|
€
29K
-21.76%
|
€
37K
|
Eigen vermogen |
€
64K
-23.28%
|
€
83K
11.54%
|
€
74K
|
Brutomarge |
€
185K
-6.82%
|
€
199K
-10.39%
|
€
222K
|
Werknemers |
2.80
0%
|
2.80
55.56%
|
1.80
|
Dividenden | |||
Kredietlimiet |
€
5K
-23.28%
|
€
7K
11.54%
|
€
6K
|
Belastingen |
€
0K
-10.98%
|
€
0K
47.27%
|
€
0K
|
Bezoldigingen en sociale lasten |
€
7K
|
€
12K
|
€
4K
|
Winstgevenheid | |||
EBITDA |
€
97K
-22.81%
|
€
126K
-16.51%
|
€
151K
|
EBIT |
€
-5K
-116.51%
|
€
29K
-21.76%
|
€
37K
|
Net profit |
€
-19K
-324.98%
|
€
9K
100.72%
|
€
4K
|
Capex |
€
18K
3.21%
|
€
17K
-97.32%
|
€
636K
|
Liquiditeit | |||
Cash |
€
27K
-33.25%
|
€
40K
20.38%
|
€
33K
|
Cashflow |
€
82K
-21.69%
|
€
105K
-10.62%
|
€
118K
|
Current ratio |
0.68
-1.45%
|
0.69
21.05%
|
0.57
|
Quick ratio |
0.39
-11.36%
|
0.44
62.96%
|
0.27
|
Working capital |
€
-85K
5.43%
|
€
-90K
24.44%
|
€
-119K
|
Working capital ratio |
0.68
-6.85%
|
0.73
25.86%
|
0.58
|
Solvabiliteit | |||
Totaal activa |
€
538K
-16.88%
|
€
647K
-4.71%
|
€
679K
|
Schulden |
€
474K
-15.94%
|
€
564K
-6.71%
|
€
605K
|
Solvabiliteit |
11.82%
-7.73%
|
12.81%
17.09%
|
10.94%
|
Langetermijnschuldgraad |
3.31
1.53%
|
3.26
-26.58%
|
4.44
|
Interest Coverage Ratio | |||
Rentabiliteit | |||
Bruto rentabiliteit |
129.8%
2.07%
|
127.17%
-19.86%
|
158.69%
|
Netto rentabiliteit |
-30.34%
-393.14%
|
10.35%
80%
|
5.75%
|
Return On Assets (ROA) |
-3.59
-370.65%
|
1.33
110.65%
|
0.63
|
Return On Equity (ROE) |
-30.34
-393.24%
|
10.35
79.95%
|
5.75
|
Efficiëntie | |||
Klantenkrediet | |||
Leverancierskrediet | |||
Inventory Turnover Ratio |
0.00
|
0.00
|
0.00
|
Days Sales Outstanding (DSO) | |||
Days Sales of Inventory (DSI) | |||
Sociale balans | |||
Werknemers |
2.80
0%
|
2.80
55.56%
|
1.80
|
Summary financial health
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