| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | |||||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Revenue | 26,9 M € | +1.0% | 26,7 M € | +2.9% | 25,9 M € | +7.7% | 24,1 M € | +8.2% | 22,2 M € | -1.4% | 22,5 M € | -0.8% | 22,7 M € | +3.3% | 22,0 M € | +4.7% | 21,0 M € | +1.6% | 20,7 M € | +4.0% | 19,9 M € | +3.5% | 19,2 M € | +7.2% | 17,9 M € | +6.2% | 16,9 M € | +7.2% | 15,8 M € | +10.4% | 14,3 M € | +10.1% | 13,0 M € | +7.6% | 12,0 M € | |
| EBITDA | 927,7 k € | +142.9% | 382,0 k € | -46.3% | 710,9 k € | +131.4% | 307,1 k € | -59.8% | 763,3 k € | +27.1% | 600,5 k € | +733.5% | -94,8 k € | -152.7% | 179,9 k € | -19.4% | 223,1 k € | +3.7% | 215,2 k € | -45.6% | 396,0 k € | +4.4% | 379,4 k € | +298.6% | -191,0 k € | -417.6% | 60,1 k € | -51.5% | 123,9 k € | -5.2% | 130,7 k € | -9.0% | 143,6 k € | -22.0% | 184,0 k € | |
| Operating profit | 594,7 k € | +1664.6% | -38,0 k € | -244.7% | 26,3 k € | +74.5% | 15,1 k € | -97.5% | 598,0 k € | +123.5% | 267,6 k € | +255.2% | -172,4 k € | -271.7% | 100,4 k € | +0.0% | 100,4 k € | +44.5% | 69,5 k € | -71.3% | 241,8 k € | +10.5% | 218,9 k € | +160.6% | -361,3 k € | -393.3% | -73,2 k € | -2016.2% | 3,8 k € | +12.5% | 3,4 k € | +9.6% | 3,1 k € | -94.1% | 52,4 k € | |
| Profit/loss | 597,4 k € | +925.8% | 58,2 k € | +248.5% | 16,7 k € | +136.0% | -46,5 k € | -107.8% | 597,3 k € | +130.3% | 259,4 k € | +246.4% | -177,2 k € | -278.4% | 99,3 k € | +1.4% | 98,0 k € | +147.1% | 39,7 k € | -64.8% | 112,7 k € | -47.6% | 214,9 k € | +159.1% | -363,3 k € | -391.1% | -74,0 k € | — | — | — | 49,8 k € | |||||
| Equity | 3,7 M € | +18.6% | 3,2 M € | +1.6% | 3,1 M € | +0.2% | 3,1 M € | +97.6% | 1,6 M € | +61.1% | 975,7 k € | +35.8% | 718,7 k € | -20.0% | 898,3 k € | +20.0% | 748,8 k € | +17.1% | 639,3 k € | +6.6% | 599,6 k € | +23.1% | 486,9 k € | +79.0% | 272,1 k € | -57.2% | 635,4 k € | -10.4% | 709,4 k € | 0.0% | 709,4 k € | 0.0% | 709,4 k € | 0.0% | 709,4 k € | |
| Total assets | 18,9 M € | -0.3% | 18,9 M € | -13.9% | 22,0 M € | -2.2% | 22,5 M € | +54.7% | 14,5 M € | +88.7% | 7,7 M € | -7.3% | 8,3 M € | +6.8% | 7,8 M € | +53.9% | 5,1 M € | -25.2% | 6,8 M € | -5.1% | 7,1 M € | -0.3% | 7,1 M € | +3.7% | 6,9 M € | +6.0% | 6,5 M € | +5.7% | 6,1 M € | +19.5% | 5,1 M € | +33.1% | 3,9 M € | -28.5% | 5,4 M € | |
| Cash | 5,7 M € | -36.4% | 9,0 M € | -2.1% | 9,1 M € | +40.4% | 6,5 M € | -7.1% | 7,0 M € | +763.2% | 811,5 k € | +1568.1% | 48,6 k € | +32.7% | 36,6 k € | -91.1% | 412,3 k € | +185.8% | 144,3 k € | +345.9% | 32,4 k € | -5.0% | 34,1 k € | -77.9% | 154,4 k € | -43.3% | 272,2 k € | -60.5% | 688,5 k € | +395.3% | 139,0 k € | +548.6% | 21,4 k € | -76.3% | 90,6 k € | |
| Debts | 13,9 M € | -6.7% | 14,9 M € | -16.3% | 17,8 M € | -2.0% | 18,1 M € | +46.9% | 12,3 M € | +89.3% | 6,5 M € | -12.3% | 7,4 M € | +10.7% | 6,7 M € | +70.6% | 3,9 M € | -32.9% | 5,9 M € | -6.2% | 6,2 M € | -0.1% | 6,3 M € | +5.5% | 5,9 M € | +15.0% | 5,2 M € | +16.5% | 4,4 M € | +26.8% | 3,5 M € | +40.1% | 2,5 M € | -40.5% | 4,2 M € | |
| Staff | 454,6 | 449,5 | 440 | 424,7 | 203,9 | 210,9 | 221,6 | 220,4 | 223,3 | 217,1 | 216,5 | 204,1 | 197,6 | 190,8 | 170,6 | 156 | 144 | 130,2 | ||||||||||||||||||
Non-profit organization · Soignies · incorporated on 14/12/1989 · 454,6 ETP
Non-profit organization profitable and well capitalised. Cash position declining (-36.4%).
Solid counterparty for a standard engagement.
Centre Reine Fabiola is a Non-profit organization incorporated in 1989. Its main activity is: General secondary education. Its registered office is in Soignies. It employs on average 454,6 ETP workers (FTE).
Key indicators
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7-day free trial, no credit card required.
7-day free trial, no credit card required.
Source: Belgian Official Gazette