| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2007 | |||||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Gross margin | 258,9 k € | +32.0% | 196,1 k € | -48.2% | 378,8 k € | +81.5% | 208,7 k € | +18.1% | 176,7 k € | +71.2% | 103,2 k € | +7.2% | 96,3 k € | +17.5% | 82,0 k € | -37.6% | 131,3 k € | +70.0% | 77,2 k € | -45.2% | 140,8 k € | +207.0% | 45,9 k € | -59.1% | 112,2 k € | +304.4% | 27,7 k € | -66.0% | 81,6 k € | -8.2% | 88,9 k € | -40.6% | 149,6 k € | +663.8% | 19,6 k € | |
| EBITDA | 253,9 k € | +33.4% | 190,4 k € | -49.2% | 374,8 k € | +84.2% | 203,4 k € | +17.5% | 173,2 k € | +79.5% | 96,5 k € | +13.6% | 84,9 k € | +11.6% | 76,1 k € | -39.3% | 125,3 k € | +75.8% | 71,3 k € | -47.3% | 135,2 k € | +242.5% | 39,5 k € | -62.4% | 105,0 k € | +318.9% | 25,1 k € | -65.0% | 71,6 k € | -9.1% | 78,8 k € | +360.5% | -30,3 k € | -272.1% | 17,6 k € | |
| Operating profit | 221,9 k € | -34.1% | 336,6 k € | -6.8% | 361,1 k € | +83.4% | 196,9 k € | +18.6% | 165,9 k € | +86.8% | 88,8 k € | +16.4% | 76,3 k € | +28.8% | 59,3 k € | -47.9% | 113,8 k € | +90.6% | 59,7 k € | -49.7% | 118,7 k € | +412.1% | 23,2 k € | -73.8% | 88,4 k € | +2058.5% | 4,1 k € | -92.4% | 54,0 k € | -17.4% | 65,4 k € | +237.1% | -47,7 k € | -424.3% | 14,7 k € | |
| Profit/loss | 549,5 k € | +323.1% | 129,9 k € | -56.5% | 298,7 k € | +174.6% | 108,8 k € | -37.1% | 172,8 k € | +500.8% | 28,8 k € | +55.2% | 18,5 k € | -84.6% | 120,2 k € | +165.2% | 45,3 k € | +410.0% | 8,9 k € | -83.0% | 52,3 k € | +427.4% | -16,0 k € | -131.5% | 50,8 k € | +465.6% | -13,9 k € | -205.4% | 13,2 k € | -88.0% | 110,0 k € | +258.0% | -69,6 k € | -776.4% | 10,3 k € | |
| Equity | 1,5 M € | +56.3% | 976,3 k € | +15.1% | 848,2 k € | +26.7% | 669,5 k € | +19.1% | 562,3 k € | +42.8% | 393,8 k € | +6.6% | 369,3 k € | +5.3% | 350,8 k € | +52.1% | 230,6 k € | +24.5% | 185,3 k € | +5.0% | 176,4 k € | +42.2% | 124,1 k € | -11.4% | 140,1 k € | +56.9% | 89,3 k € | -13.5% | 103,2 k € | +14.6% | 90,0 k € | +550.4% | -20,0 k € | -140.3% | 49,6 k € | |
| Total assets | 2,4 M € | +55.5% | 1,6 M € | -3.9% | 1,6 M € | +14.4% | 1,4 M € | +6.0% | 1,3 M € | +20.5% | 1,1 M € | -2.6% | 1,1 M € | +0.2% | 1,1 M € | +20.4% | 943,7 k € | +5.7% | 893,2 k € | -0.3% | 896,2 k € | +18.7% | 754,7 k € | +32.1% | 571,3 k € | -1.4% | 579,5 k € | -4.6% | 607,2 k € | +0.7% | 602,7 k € | +52.2% | 395,9 k € | +423.4% | 75,6 k € | |
| Cash | 580,8 k € | +35.3% | 429,4 k € | +104.3% | 210,2 k € | -29.2% | 297,0 k € | +124.1% | 132,5 k € | +20.5% | 110,0 k € | -36.9% | 174,2 k € | +3.8% | 167,7 k € | +28.1% | 130,9 k € | +271.8% | 35,2 k € | +1.3% | 34,7 k € | -53.5% | 74,8 k € | -12.8% | 85,8 k € | +10.2% | 77,8 k € | +533.8% | 12,3 k € | -75.5% | 50,1 k € | +207.0% | 16,3 k € | +82.9% | 8,9 k € | |
| Debts | 434,9 k € | +217.2% | 137,1 k € | -10.0% | 152,3 k € | +73.9% | 87,6 k € | -39.7% | 145,3 k € | +1.9% | 142,6 k € | -39.0% | 233,6 k € | -17.4% | 282,6 k € | +18.1% | 239,3 k € | -10.0% | 266,0 k € | -11.2% | 299,7 k € | +27.3% | 235,5 k € | -8.4% | 257,0 k € | -18.7% | 315,9 k € | -4.2% | 329,7 k € | -4.2% | 344,3 k € | +40.2% | 245,6 k € | +999.5% | 22,3 k € | |
Private limited company · Ronse · incorporated on 19/11/1997
Private limited company profitable and well capitalised. Cash position rising (+35.3%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
VAN BIERVLIET CARL is a Private limited company incorporated in 1997. Its main activity is: Manufacture of rubber products. Its registered office is in Ronse.
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