| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | ||||||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Gross margin | 145,0 k € | +1.1% | 143,5 k € | +23.3% | 116,4 k € | +20.7% | 96,4 k € | -58.2% | 230,5 k € | -55.0% | 512,0 k € | +99.4% | 256,7 k € | +108.6% | 123,1 k € | +8.9% | 113,0 k € | -33.3% | 169,3 k € | +27.1% | 133,2 k € | +0.7% | 132,3 k € | +11.1% | 119,1 k € | -15.9% | 141,7 k € | -28.2% | 197,5 k € | +30.4% | 151,4 k € | -24.0% | 199,1 k € | +16.2% | 171,4 k € | -9.8% | 190,0 k € | |
| EBITDA | 119,9 k € | +5.8% | 113,3 k € | +6.7% | 106,2 k € | +48.0% | 71,8 k € | -66.3% | 213,1 k € | -55.6% | 479,8 k € | +92.5% | 249,2 k € | +192.4% | 85,2 k € | -11.7% | 96,6 k € | -36.8% | 152,7 k € | +27.4% | 119,9 k € | +1.1% | 118,5 k € | +13.2% | 104,7 k € | -18.8% | 128,9 k € | -30.2% | 184,6 k € | +34.3% | 137,4 k € | -25.9% | 185,4 k € | +18.9% | 156,0 k € | -11.6% | 176,5 k € | |
| Operating profit | 45,8 k € | +8.5% | 42,2 k € | +90.1% | 22,2 k € | +79.6% | 12,3 k € | -91.5% | 145,6 k € | -63.8% | 402,0 k € | +142.7% | 165,6 k € | +1448.6% | 10,7 k € | -61.7% | 27,9 k € | -69.8% | 92,3 k € | +67.7% | 55,0 k € | +60.1% | 34,4 k € | -50.0% | 68,7 k € | -24.0% | 90,5 k € | -26.3% | 122,7 k € | +81.9% | 67,4 k € | -36.6% | 106,4 k € | +10.9% | 95,9 k € | -15.4% | 113,4 k € | |
| Profit/loss | 24,4 k € | +2.4% | 23,8 k € | +74.7% | 13,6 k € | +130.6% | 5,9 k € | -94.4% | 106,6 k € | -70.9% | 367,0 k € | +261.9% | 101,4 k € | +788.3% | 11,4 k € | -48.4% | 22,1 k € | -94.0% | 366,8 k € | +494.9% | 61,7 k € | +15.9% | 53,2 k € | +10.6% | 48,1 k € | -69.9% | 159,7 k € | +148.3% | 64,3 k € | +66.0% | 38,7 k € | +51.9% | 25,5 k € | +6.1% | 24,0 k € | -50.5% | 48,6 k € | |
| Equity | 1,1 M € | -13.9% | 1,2 M € | +2.0% | 1,2 M € | -14.0% | 1,4 M € | -12.1% | 1,6 M € | +7.5% | 1,5 M € | +32.7% | 1,1 M € | +10.6% | 1,0 M € | -32.5% | 1,5 M € | +1.5% | 1,5 M € | +32.9% | 1,1 M € | +5.9% | 1,1 M € | +5.3% | 1,0 M € | +5.1% | 952,0 k € | +20.2% | 792,2 k € | +8.8% | 727,9 k € | +5.6% | 689,2 k € | +3.8% | 663,7 k € | +3.8% | 639,6 k € | |
| Total assets | 1,3 M € | -1.7% | 1,4 M € | +2.4% | 1,3 M € | -15.1% | 1,6 M € | -8.6% | 1,7 M € | +7.2% | 1,6 M € | +9.1% | 1,5 M € | -0.3% | 1,5 M € | -12.1% | 1,7 M € | -9.2% | 1,8 M € | +8.9% | 1,7 M € | -10.2% | 1,9 M € | +2.6% | 1,8 M € | +0.8% | 1,8 M € | -4.9% | 1,9 M € | -10.5% | 2,1 M € | +18.3% | 1,8 M € | +2.5% | 1,8 M € | -1.8% | 1,8 M € | |
| Cash | 132,9 k € | +29.0% | 103,0 k € | -58.6% | 249,1 k € | -66.8% | 750,3 k € | -5.9% | 797,0 k € | +29.9% | 613,6 k € | +103.6% | 301,4 k € | +47.1% | 205,0 k € | +236.6% | 60,9 k € | -50.3% | 122,4 k € | +333.2% | 28,3 k € | -33.7% | 42,6 k € | — | — | 17,0 k € | +15.9% | 14,6 k € | -88.1% | 122,8 k € | — | 9,7 k € | ||||||
| Debts | 213,6 k € | +217.1% | 67,4 k € | +24.9% | 53,9 k € | -39.6% | 89,2 k € | +102.3% | 44,1 k € | -30.2% | 63,1 k € | -78.6% | 295,5 k € | -25.7% | 397,7 k € | +277.3% | 105,4 k € | -64.1% | 293,2 k € | -42.2% | 507,5 k € | -32.7% | 754,4 k € | -1.7% | 767,5 k € | -4.8% | 806,2 k € | -26.5% | 1,1 M € | -20.8% | 1,4 M € | +26.6% | 1,1 M € | +1.2% | 1,1 M € | -5.8% | 1,1 M € | |
Public limited company · Tienen · incorporated on 03/12/1984
Public limited company profitable and well capitalised. Cash position rising (+29.0%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
Huis van Ranst is a Public limited company incorporated in 1984. Its main activity is: Rental and operating of own or leased real estate. Its registered office is in Tienen.
Key indicators
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Source: Belgian Official Gazette