| 2025 | 2024 | 2023 | 2022 | 2021 | 2018 | 2017 | 2016 | 2014 | 2013 | 2012 | 2011 | 2010 | 2008 | 2007 | ||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Gross margin | 2,5 M € | +12.2% | 2,2 M € | -1.4% | 2,2 M € | +4.4% | 2,1 M € | +21.6% | 1,8 M € | -6.6% | 1,9 M € | +70.9% | 1,1 M € | +14.2% | 962,7 k € | +94.5% | 494,9 k € | -14.2% | 576,6 k € | +2.2% | 564,3 k € | +29.8% | 434,9 k € | +20.5% | 360,8 k € | +238.4% | 106,6 k € | +51.6% | 70,3 k € | |
| EBITDA | 1,6 M € | +20.7% | 1,3 M € | -7.2% | 1,5 M € | +0.1% | 1,5 M € | +46.3% | 991,6 k € | -5.4% | 1,0 M € | +200.3% | 349,1 k € | +27.6% | 273,5 k € | +60.6% | 170,3 k € | -28.7% | 238,8 k € | -7.7% | 258,8 k € | +84.5% | 140,3 k € | +8.4% | 129,4 k € | +56.8% | 82,5 k € | +25.8% | 65,6 k € | |
| Operating profit | 1,2 M € | +19.6% | 1,0 M € | -10.4% | 1,2 M € | +4.6% | 1,1 M € | +59.9% | 691,1 k € | -14.4% | 807,8 k € | +740.0% | 96,2 k € | -50.3% | 193,7 k € | +40.3% | 138,0 k € | -31.0% | 199,9 k € | -9.3% | 220,4 k € | +121.3% | 99,6 k € | +36.5% | 72,9 k € | -5.9% | 77,5 k € | +98.1% | 39,1 k € | |
| Profit/loss | 1,4 M € | +75.1% | 774,4 k € | -10.0% | 860,0 k € | +7.3% | 801,2 k € | +58.1% | 506,9 k € | +2.2% | 495,7 k € | +1144.9% | 39,8 k € | -60.2% | 100,1 k € | +12.0% | 89,4 k € | -28.5% | 125,0 k € | -24.4% | 165,4 k € | +163.4% | 62,8 k € | +68.2% | 37,3 k € | -1.6% | 37,9 k € | +87.9% | 20,2 k € | |
| Equity | 4,7 M € | +29.9% | 3,6 M € | +90.8% | 1,9 M € | +11.5% | 1,7 M € | -0.2% | 1,7 M € | +176.6% | 613,8 k € | +58.7% | 386,8 k € | +37.5% | 281,3 k € | +12.3% | 250,6 k € | -45.9% | 462,9 k € | +36.7% | 338,5 k € | -0.4% | 340,1 k € | +12.3% | 302,9 k € | +57.2% | 192,7 k € | +24.5% | 154,8 k € | |
| Total assets | 17,2 M € | +4.5% | 16,5 M € | +327.2% | 3,9 M € | -8.2% | 4,2 M € | +5.4% | 4,0 M € | +4.8% | 3,8 M € | -14.4% | 4,4 M € | +113.3% | 2,1 M € | +37.9% | 1,5 M € | +5.3% | 1,4 M € | +0.6% | 1,4 M € | +1.5% | 1,4 M € | +8.0% | 1,3 M € | +243.1% | 379,5 k € | -22.0% | 486,3 k € | |
| Cash | 1,3 M € | +546.4% | 194,9 k € | +212.1% | 62,5 k € | -86.7% | 469,4 k € | +37.6% | 341,0 k € | +15.9% | 294,4 k € | +32.3% | 222,5 k € | +112.2% | 104,8 k € | -32.8% | 156,1 k € | +273.2% | 41,8 k € | +3.2% | 40,5 k € | -10.2% | 45,1 k € | +37.7% | 32,8 k € | +1320.3% | 2,3 k € | -12.8% | 2,6 k € | |
| Debts | 12,5 M € | -2.7% | 12,9 M € | +571.2% | 1,9 M € | -21.9% | 2,5 M € | +7.2% | 2,3 M € | -28.2% | 3,2 M € | -21.3% | 4,1 M € | +124.9% | 1,8 M € | +45.3% | 1,2 M € | +29.5% | 959,0 k € | -10.6% | 1,1 M € | +10.1% | 974,2 k € | +7.2% | 908,7 k € | +651.8% | 120,9 k € | -54.9% | 268,0 k € | |
| Staff | 11,3 | 12,4 | 11,1 | 10,9 | 11,4 | 14,2 | 11,9 | 11,7 | 6 | 6,8 | 5,6 | 6,1 | 6,4 | — | — | |||||||||||||||
Public limited company · Tubize · incorporated on 17/11/1998 · 11,3 ETP
Public limited company profitable and well capitalised. Cash position rising (+546.4%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
tapeservice is a Public limited company incorporated in 1998. Its main activity is: Other manufacturing n.e.c.. Its registered office is in Tubize. It employs on average 11,3 ETP workers (FTE).
Key indicators
7-day free trial, no credit card required.
7-day free trial, no credit card required.
7-day free trial, no credit card required.
Source: Belgian Official Gazette