| 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | ||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Revenue | — | — | — | — | — | — | — | — | — | — | 1,7 k € | -95.3% | 35,9 k € | -96.7% | 1,1 M € | — | — | |||||||||||||
| Gross margin | -9,1 k € | -6.6% | -8,6 k € | -3.6% | -8,3 k € | -15.6% | -7,2 k € | +13.8% | -8,3 k € | -1206.3% | -636,0 € | +98.8% | -52,8 k € | +9.4% | -58,3 k € | -19.0% | -49,0 k € | -278.5% | -12,9 k € | +96.3% | -347,5 k € | -367.7% | 129,8 k € | -84.2% | 821,1 k € | -34.5% | 1,3 M € | -3.2% | 1,3 M € | |
| EBITDA | -9,1 k € | -6.0% | -8,6 k € | -4.2% | -8,3 k € | +37.5% | -13,3 k € | +56.6% | -30,6 k € | +74.3% | -119,1 k € | +29.6% | -169,1 k € | +1.6% | -171,8 k € | -12.3% | -153,0 k € | -6.1% | -144,2 k € | +63.0% | -389,3 k € | -259.1% | -108,4 k € | +87.5% | -869,2 k € | -796.0% | -97,0 k € | +69.6% | -318,8 k € | |
| Operating profit | -9,1 k € | -6.0% | -8,6 k € | -4.2% | -8,3 k € | +37.5% | -13,3 k € | +59.9% | -33,0 k € | +73.9% | -126,8 k € | +31.0% | -183,8 k € | +56.0% | -417,6 k € | -171.8% | -153,6 k € | -21.4% | -126,6 k € | +67.6% | -390,1 k € | -123.6% | -174,5 k € | +81.6% | -948,2 k € | -333.9% | -218,5 k € | +48.9% | -427,9 k € | |
| Profit/loss | -9,3 k € | -5.9% | -8,8 k € | -4.2% | -8,5 k € | +25.7% | -11,4 k € | +64.8% | -32,3 k € | +76.1% | -135,5 k € | +26.2% | -183,8 k € | +55.1% | -409,3 k € | -159.0% | -158,0 k € | -8.4% | -145,8 k € | +63.9% | -404,2 k € | -21.7% | -332,0 k € | +64.6% | -939,0 k € | -330.4% | 407,6 k € | +201.0% | -403,6 k € | |
| Equity | -4,5 M € | -0.2% | -4,4 M € | -0.2% | -4,4 M € | -0.2% | -4,4 M € | -0.3% | -4,4 M € | -0.7% | -4,4 M € | -3.2% | -4,2 M € | -4.5% | -4,1 M € | -11.4% | -3,6 M € | -4.5% | -3,5 M € | -4.4% | -3,3 M € | -13.7% | -2,9 M € | -14.5% | -2,6 M € | -58.8% | -1,6 M € | -17.5% | -1,4 M € | |
| Total assets | 268,0 € | +4.7% | 256,0 € | -89.1% | 2,4 k € | +231.3% | 712,0 € | -78.5% | 3,3 k € | -90.2% | 33,9 k € | -80.6% | 174,9 k € | +2.8% | 170,2 k € | -53.3% | 364,1 k € | -3.3% | 376,6 k € | -0.1% | 376,8 k € | -35.5% | 583,8 k € | -38.3% | 946,1 k € | -5.5% | 1,0 M € | -16.0% | 1,2 M € | |
| Cash | 224,0 € | +5.7% | 212,0 € | -91.0% | 2,4 k € | +7763.3% | 30,0 € | -99.1% | 3,3 k € | -84.8% | 21,8 k € | -37.4% | 34,8 k € | -49.3% | 68,7 k € | +308.3% | 16,8 k € | +2053.0% | 781,0 € | -86.8% | 5,9 k € | -97.4% | 225,5 k € | +186.7% | 78,7 k € | -26.8% | 107,4 k € | +84.9% | 58,1 k € | |
| Debts | 4,4 M € | +0.2% | 4,4 M € | +0.2% | 4,4 M € | +0.2% | 4,4 M € | +0.2% | 4,4 M € | +0.0% | 4,4 M € | -0.1% | 4,4 M € | +4.5% | 4,2 M € | +5.6% | 4,0 M € | +3.8% | 3,8 M € | +3.1% | 3,7 M € | +11.2% | 3,3 M € | +2.0% | 3,3 M € | +31.8% | 2,5 M € | +5.1% | 2,4 M € | |
| Staff | — | — | — | 0 | 1 | 1 | 1 | 1 | 1 | — | — | 1 | 31 | 38 | 47 | |||||||||||||||
Non-profit organization · Namur · incorporated on 17/09/1996
Company — Voluntary dissolution - liquidation.
Non-profit organization loss-making in the latest fiscal year. Cash position rising (+5.7%).
Solid counterparty for a standard engagement.
CENTRE DE VACANCES DE BORZEE is a Non-profit organization incorporated in 1996. Its registered office is in Namur.
Key indicators
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Source: Belgian Official Gazette