| 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | |||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Revenue | 398,8 k € | +35.5% | 294,4 k € | -9.8% | 326,4 k € | — | — | — | — | — | — | — | — | — | ||||||||||
| Gross margin | 580,5 k € | +33.4% | 435,2 k € | -16.0% | 518,0 k € | +42.3% | 363,9 k € | -23.8% | 477,3 k € | +36.9% | 348,6 k € | +20.7% | 288,8 k € | -46.2% | 537,2 k € | +2.8% | 522,4 k € | +114.1% | 244,1 k € | -8.7% | 267,3 k € | +2.1% | 261,7 k € | |
| EBITDA | 34,3 k € | +183.2% | -41,2 k € | -71.1% | -24,1 k € | -181.7% | 29,5 k € | +922.2% | -3,6 k € | -113.2% | 27,1 k € | +141.5% | 11,2 k € | -95.7% | 264,1 k € | +7.1% | 246,7 k € | +74620.8% | 330,1 € | +105.3% | -6,3 k € | -140.7% | 15,4 k € | |
| Operating profit | 13,9 k € | +124.3% | -57,2 k € | -45.9% | -39,2 k € | -321.6% | 17,7 k € | +284.5% | -9,6 k € | -142.4% | 22,6 k € | +199.8% | 7,5 k € | -97.1% | 260,0 k € | +6.5% | 244,2 k € | +7240.1% | -3,4 k € | +67.3% | -10,5 k € | -236.5% | 7,7 k € | |
| Profit/loss | 15,2 k € | +127.3% | -55,9 k € | -43.2% | -39,0 k € | -327.2% | 17,2 k € | +267.9% | -10,2 k € | -146.1% | 22,2 k € | +535.6% | 3,5 k € | +1611.5% | -230,7 € | -102.1% | 10,8 k € | +249.0% | -7,3 k € | +30.0% | -10,4 k € | -252.1% | 6,8 k € | |
| Equity | 92,5 k € | +938.0% | -11,0 k € | -125.7% | 43,0 k € | -39.7% | 71,3 k € | +31.7% | 54,1 k € | -15.9% | 64,3 k € | +52.6% | 42,1 k € | +9.0% | 38,7 k € | -0.6% | 38,9 k € | +38.6% | 28,1 k € | -20.6% | 35,3 k € | -22.7% | 45,7 k € | |
| Total assets | 614,7 k € | +23.7% | 496,7 k € | -5.6% | 526,3 k € | -5.2% | 555,1 k € | +80.5% | 307,5 k € | -13.3% | 354,8 k € | +22.8% | 288,9 k € | +0.7% | 287,0 k € | -6.4% | 306,7 k € | +34.7% | 227,6 k € | -4.2% | 237,6 k € | -5.5% | 251,3 k € | |
| Cash | 191,0 k € | +18.5% | 161,2 k € | -35.9% | 251,4 k € | -15.4% | 297,3 k € | +10.0% | 270,1 k € | -16.8% | 324,6 k € | +18.5% | 274,0 k € | +1.6% | 269,8 k € | -8.3% | 294,3 k € | +38.3% | 212,8 k € | -2.8% | 218,8 k € | -5.2% | 230,7 k € | |
| Debts | 341,2 k € | +8.9% | 313,4 k € | -2.4% | 321,2 k € | +1.9% | 315,2 k € | +377.6% | 66,0 k € | +0.3% | 65,8 k € | +70.0% | 38,7 k € | -9.2% | 42,6 k € | -22.9% | 55,2 k € | +86.7% | 29,6 k € | -18.4% | 36,3 k € | -18.2% | 44,3 k € | |
| Staff | — | — | — | — | — | 6,3 | 5,9 | 6,1 | 5,6 | 5,9 | 5,9 | 5,9 | ||||||||||||
Non-profit organization · Fleurus · incorporated on 29/06/1981
Non-profit organization profitable and well capitalised. Cash position rising (+18.5%).
Solid counterparty for a standard engagement.
Ferme de Martinrou is a Non-profit organization incorporated in 1981. Its main activity is: Operation of arts facilities. Its registered office is in Fleurus.
Key indicators
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Source: Belgian Official Gazette