| 2024 | 2023 | 2022 | 2021 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | |||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Revenue | 46,3 M € | -4.9% | 48,7 M € | -4.9% | 51,2 M € | +34.9% | 37,9 M € | +96.4% | 19,3 M € | +19.5% | 16,2 M € | +15.5% | 14,0 M € | -15.3% | 16,5 M € | +94.8% | 8,5 M € | +152.0% | 3,4 M € | -16.6% | 4,0 M € | -27.8% | 5,6 M € | |
| Gross margin | — | — | — | — | — | — | 815,1 k € | -24.4% | 1,1 M € | +158.4% | 417,5 k € | +22.5% | 340,8 k € | -37.1% | 541,7 k € | -32.0% | 796,7 k € | |||||||
| EBITDA | 3,6 M € | -2.5% | 3,7 M € | -22.3% | 4,7 M € | +47.0% | 3,2 M € | +537.9% | 502,1 k € | +18.4% | 424,2 k € | -48.0% | 815,0 k € | -23.0% | 1,1 M € | +162.0% | 403,7 k € | +17.7% | 342,9 k € | -40.8% | 579,2 k € | -25.9% | 781,6 k € | |
| Operating profit | 850,4 k € | -40.6% | 1,4 M € | -52.6% | 3,0 M € | +43.0% | 2,1 M € | +1038.6% | 185,3 k € | -29.9% | 264,3 k € | -67.4% | 810,4 k € | +3.1% | 786,0 k € | +137.4% | 331,0 k € | +20.9% | 273,8 k € | -52.7% | 579,5 k € | -15.7% | 687,2 k € | |
| Profit/loss | 429,6 k € | -58.0% | 1,0 M € | -53.8% | 2,2 M € | +46.3% | 1,5 M € | +1976.5% | 72,9 k € | -58.6% | 175,9 k € | -71.4% | 614,6 k € | +15.5% | 532,3 k € | +134.6% | 226,9 k € | +265.9% | -136,8 k € | -141.1% | 332,8 k € | -36.2% | 521,9 k € | |
| Equity | 5,5 M € | +7.2% | 5,1 M € | +11.2% | 4,6 M € | +25.0% | 3,7 M € | +128.2% | 1,6 M € | +4.7% | 1,5 M € | +25.0% | 1,2 M € | -49.0% | 2,4 M € | +23.4% | 2,0 M € | +8.1% | 1,8 M € | -28.9% | 2,6 M € | +16.9% | 2,2 M € | |
| Total assets | 21,8 M € | +0.8% | 21,6 M € | -2.2% | 22,1 M € | +28.9% | 17,1 M € | +107.0% | 8,3 M € | -9.6% | 9,2 M € | +62.8% | 5,6 M € | +19.7% | 4,7 M € | +23.7% | 3,8 M € | +53.4% | 2,5 M € | -30.2% | 3,6 M € | +15.2% | 3,1 M € | |
| Cash | 180,4 k € | -89.4% | 1,7 M € | +48.2% | 1,2 M € | +252.7% | 326,9 k € | -10.0% | 363,3 k € | +58.1% | 229,8 k € | -44.0% | 410,3 k € | -15.9% | 487,8 k € | -29.4% | 690,9 k € | +616.9% | 96,4 k € | -84.8% | 635,0 k € | -50.0% | 1,3 M € | |
| Debts | 16,3 M € | -0.8% | 16,4 M € | -6.0% | 17,5 M € | +30.0% | 13,4 M € | +101.7% | 6,7 M € | -12.6% | 7,6 M € | +73.4% | 4,4 M € | +93.2% | 2,3 M € | +24.8% | 1,8 M € | +174.9% | 662,7 k € | -32.8% | 986,5 k € | +23.8% | 796,6 k € | |
| Staff | 34,8 | 29,9 | 27,4 | 25,2 | 28 | 4,8 | — | — | — | — | — | — | ||||||||||||
Public limited company · Houthulst · incorporated on 19/01/1998 · 34,8 ETP
Public limited company profitable and well capitalised. Cash position declining (-89.4%).
Solid counterparty for a standard engagement.
RAFF PLASTICS is a Public limited company incorporated in 1998. Its main activity is: Treatment and disposal of non-hazardous waste. Its registered office is in Houthulst. It employs on average 34,8 ETP workers (FTE).
Key indicators
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Source: Belgian Official Gazette