| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | ||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Gross margin | 266,3 k € | -4.2% | 278,0 k € | +3.9% | 267,4 k € | +2.7% | 260,5 k € | +3.8% | 250,9 k € | -0.4% | 252,0 k € | -29.8% | 359,0 k € | |
| EBITDA | 262,0 k € | +0.1% | 261,7 k € | -1.6% | 265,9 k € | +3.0% | 258,2 k € | +3.4% | 249,8 k € | -0.5% | 251,2 k € | -29.8% | 357,9 k € | |
| Operating profit | 261,7 k € | +0.3% | 261,1 k € | -1.6% | 265,3 k € | +3.0% | 257,6 k € | +4.5% | 246,6 k € | +2.1% | 241,4 k € | -29.1% | 340,6 k € | |
| Profit/loss | 484,7 k € | +92.0% | 252,5 k € | +32.5% | 190,5 k € | -41.1% | 323,3 k € | +14.7% | 281,8 k € | +85.0% | 152,3 k € | +0.1% | 152,2 k € | |
| Equity | 1,6 M € | +20.0% | 1,4 M € | +22.6% | 1,1 M € | +20.5% | 928,1 k € | +55.0% | 598,7 k € | +88.9% | 316,9 k € | +92.5% | 164,6 k € | |
| Total assets | 4,3 M € | -1.1% | 4,4 M € | +1.4% | 4,3 M € | -1.7% | 4,4 M € | +44.5% | 3,1 M € | +1.9% | 3,0 M € | -1.0% | 3,0 M € | |
| Cash | 31,8 k € | -6.1% | 33,9 k € | +51.4% | 22,4 k € | -76.7% | 95,8 k € | -23.9% | 126,0 k € | +44.8% | 87,0 k € | -23.2% | 113,4 k € | |
| Debts | 2,7 M € | -10.9% | 3,0 M € | -6.1% | 3,2 M € | -7.8% | 3,5 M € | +41.9% | 2,5 M € | -8.4% | 2,7 M € | -6.4% | 2,9 M € | |
Private company with limited liability · Braine-l'Alleud · incorporated on 19/04/2018
Private company with limited liability profitable and well capitalised. Cash position declining (-6.1%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
P.C.Phar is a Private company with limited liability incorporated in 2018. Its main activity is: Management consultancy activities. Its registered office is in Braine-l'Alleud.
Key indicators
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