| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | ||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Gross margin | 120,5 k € | -19.0% | 148,8 k € | +22.7% | 121,3 k € | +24.9% | 97,1 k € | +97.8% | 49,1 k € | -57.7% | 116,0 k € | -23.6% | 151,9 k € | |
| EBITDA | 72,1 k € | -27.2% | 99,1 k € | +14.6% | 86,5 k € | +12.1% | 77,1 k € | +110.8% | 36,6 k € | -58.4% | 87,9 k € | -9.6% | 97,3 k € | |
| Operating profit | 27,5 k € | -48.7% | 53,7 k € | +35.3% | 39,7 k € | +33.1% | 29,8 k € | +410.9% | -9,6 k € | -112.8% | 74,7 k € | +26.1% | 59,3 k € | |
| Profit/loss | 4,8 k € | -80.6% | 24,7 k € | +37.8% | 17,9 k € | +96.4% | 9,1 k € | +129.0% | -31,5 k € | -159.7% | 52,7 k € | +115.2% | 24,5 k € | |
| Equity | 120,9 k € | +4.1% | 116,2 k € | +27.0% | 91,4 k € | +24.4% | 73,5 k € | +14.2% | 64,4 k € | -32.8% | 95,9 k € | +122.4% | 43,1 k € | |
| Total assets | 628,4 k € | -5.8% | 667,2 k € | -6.9% | 716,9 k € | -5.2% | 756,1 k € | -4.6% | 792,9 k € | -4.8% | 832,5 k € | +3.3% | 805,8 k € | |
| Cash | 4,4 k € | +52.8% | 2,9 k € | +0.1% | 2,9 k € | +24.3% | 2,3 k € | — | — | 1,7 k € | ||||
| Debts | 506,6 k € | -8.1% | 551,0 k € | -11.9% | 625,5 k € | -8.4% | 682,6 k € | -6.3% | 728,5 k € | -1.1% | 736,7 k € | -3.4% | 762,6 k € | |
Private limited company · Denderleeuw · incorporated on 03/01/2018
Private limited company profitable and well capitalised. Cash position rising (+52.8%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
KAKELBONT is a Private limited company incorporated in 2018. Its main activity is: Activities of amusement parks and theme parks. Its registered office is in Denderleeuw.
Key indicators
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