ACTIVE

CASSART PHARMA

Financial year 2025 · closed on 31/12/2025
Net result
62,6 k €
-72.6% YoY
Gross margin
137 k €
+1.5% YoY
Equity
292,7 k €
+26.3% YoY
Workforce
0,0 ETP

What does CASSART PHARMA do?

CASSART PHARMA is a Private limited company incorporated in 2022. Its main activity is: Dispensing chemist in specialised stores. Its registered office is in Silly.

Legal situation
Normal situation
BCE/KBO no. / VAT
BE 0780.539.006
Incorporation
17/01/2022
Legal form
Private limited company
Registered office
Rue de l'Eglise(Fouleng) 31
7830 Silly · WallonieSee on map
Contributed capital
3 000,00 €
Latest accounts
31/12/2025
Average workforce
0,0 ETP
Signals
ProfitablePositive cashflowPositive EBITDA
Health score
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✦ Verdict · Analyst summary
Financials

Trend over 4 financial years

2025202420232022
Income statement
Gross margin137 k €135 k €15,8 k €-2,4 k €
EBITDA136 k €135 k €15,8 k €-3,3 k €
Operating result136 k €135 k €15,8 k €-3,9 k €
Net result62,6 k €229 k €8,2 k €-5,1 k €
Balance sheet
Equity292,7 k €231,7 k €4,4 k €-2,1 k €
Total assets1,7 M €1,7 M €1,5 M €18 k €
Cash11,6 k €5,8 k €13,3 k €5 k €
Debts1,4 M €1,4 M €1,5 M €20,1 k €
Other
Workforce0,0 ETP0,0 ETP
Estimate

Indicative valuation

As an indication, this company is worth

between 0 € and 100 k€
See the valuation
Governance

Board of directors

Seen on filing of 31/12/2025 · 2 active · 2 ended

Active mandates

André Peltzer Marc

Director · since 01 janvier 2026

Active
Pierre CASSART FRANÇOIS

Director

Active

Ended mandates

François CASSART

Director · since 15 janvier 2022

Ended
François Cassart

Director

Ended
Annual accounts

Full financial information

2025202420232022
Type of accountAbridged modelAbridged modelAbridged modelMicro model
Start of the financial year01/01/202501/01/202401/01/202315/01/2022
Closing of the financial year31/12/202531/12/202431/12/202331/12/2022
Length of the financial year12 months12 months12 months12 months
Filing date02/07/202601/07/202506/08/202424/05/2023
General meeting16/05/202617/05/202518/05/202420/05/2023
Currency of the financial yearEUREUREUREUR
NBB quality labelSatisfying controlsSatisfying controlsSatisfying controlsSatisfying controls
Ratios

Financial ratios

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Filings

Annual accounts filings

4 filings with the NBB

ModelClosingGeneral meetingFiledLanguageDocument
Abridged model31/12/202516/05/202602/07/2026FrenchPDF
Abridged model31/12/202417/05/202501/07/2025FrenchPDF
Abridged model31/12/202318/05/202406/08/2024FrenchPDF
Micro model31/12/202220/05/202324/05/2023FrenchPDF
Estimate

Indicative valuation

Order of magnitude

As an indication, this company is worth

between 0 € and 100 k€

The detail comes with the Business plan: low and high bounds, the valuation bridge for each financial year, transaction multiples by sector and size, group valuation and exports.

Discover the Business plan
Disclaimer

Indicative estimate based on public sector multiples and the filed annual accounts. It is neither a certified valuation nor financial or investment advice.

Governance

Board of directors

Seen on filing of 31/12/2025 · 2 active · 2 ended

Active mandates

André Peltzer Marc

Director · since 01 janvier 2026

Active
Pierre CASSART FRANÇOIS

Director

Active

Ended mandates

François CASSART

Director · since 15 janvier 2022

Ended
François Cassart

Director

Ended
Shareholders

Ownership and network

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Belgian Official Gazette

Belgian Official Gazette publications

  • Mandates03/02/2026
    DEMISSIONS, NOMINATIONS
    PDF
  • Mandates26/01/2024
    DEMISSIONS, NOMINATIONS
    PDF
  • Other19/01/2022
    RUBRIQUE CONSTITUTION (NOUVELLE PERSONNE MORALE, OUVERTURE SUCCURSALE, ETC...)
    PDF

Source: Belgian Official Gazette

Competition

Similar companies

A company's peers, by sector and size, are included in the Business plan.

See the Business plan

Timeline

  1. 2025
    Annual accounts 202562,6 k €
  2. 2024
    Annual accounts 2024229 k €
  3. 2023
    Annual accounts 20238,2 k €
  4. 2022
    Annual accounts 2022-5,1 k €
  5. 17/01/2022
    IncorporationPrivate limited company