| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | ||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Gross margin | -3,0 k € | +38.3% | -4,9 k € | -69.5% | -2,9 k € | -32.8% | -2,2 k € | +34.5% | -3,3 k € | +27.9% | -4,6 k € | -54.4% | -3,0 k € | +55.6% | -6,7 k € | -107.8% | 85,5 k € | +1339.4% | 5,9 k € | -84.8% | 39,0 k € | -44.8% | 70,7 k € | +203.9% | 23,3 k € | -89.5% | 221,2 k € | +634.9% | 30,1 k € | |
| EBITDA | -9,6 k € | -96.8% | -4,9 k € | -69.5% | -2,9 k € | -32.8% | -2,2 k € | +85.6% | -15,0 k € | -228.5% | -4,6 k € | -54.4% | -3,0 k € | +63.5% | -8,1 k € | -109.5% | 85,0 k € | +351.4% | -33,8 k € | -85.8% | -18,2 k € | -32.4% | -13,7 k € | +77.0% | -59,6 k € | -146.2% | 129,1 k € | +777.3% | -19,1 k € | |
| Operating profit | -9,6 k € | -96.8% | -4,9 k € | -69.5% | -2,9 k € | -32.8% | -2,2 k € | +85.6% | -15,0 k € | -228.5% | -4,6 k € | -54.4% | -3,0 k € | +63.5% | -8,1 k € | -109.5% | 85,0 k € | +348.7% | -34,2 k € | -83.0% | -18,7 k € | -30.8% | -14,3 k € | +76.5% | -60,7 k € | -147.5% | 127,8 k € | +627.6% | -24,2 k € | |
| Profit/loss | -9,6 k € | -95.7% | -4,9 k € | -67.9% | -2,9 k € | -32.6% | -2,2 k € | +85.3% | -15,0 k € | -232.7% | -4,5 k € | -53.0% | -3,0 k € | +63.1% | -8,0 k € | -109.5% | 84,6 k € | +346.3% | -34,3 k € | -82.7% | -18,8 k € | -37.2% | -13,7 k € | +77.1% | -59,8 k € | -152.0% | 115,1 k € | +225.3% | -91,9 k € | |
| Equity | -6,1 k € | -270.3% | 3,6 k € | -58.0% | 8,5 k € | -25.7% | 11,4 k € | -16.2% | 13,6 k € | -52.5% | 28,7 k € | -13.6% | 33,2 k € | -8.2% | 36,1 k € | -18.1% | 44,1 k € | +209.0% | -40,5 k € | -561.2% | -6,1 k € | -148.3% | 12,7 k € | -51.9% | 26,4 k € | -69.4% | 86,2 k € | +398.7% | -28,9 k € | |
| Total assets | 12,5 k € | -43.5% | 22,1 k € | -13.7% | 25,6 k € | -10.1% | 28,5 k € | -27.0% | 39,0 k € | -13.7% | 45,2 k € | -40.6% | 76,2 k € | -35.1% | 117,4 k € | -19.3% | 145,5 k € | -88.5% | 1,3 M € | +83.9% | 687,1 k € | +66.4% | 413,0 k € | +18.8% | 347,5 k € | -48.8% | 678,5 k € | -50.7% | 1,4 M € | |
| Cash | 1,5 k € | -61.1% | 3,8 k € | +438.1% | 715,2 € | -79.7% | 3,5 k € | -16.6% | 4,2 k € | -37.0% | 6,7 k € | -44.1% | 12,0 k € | -74.0% | 46,2 k € | -34.7% | 70,8 k € | +222.8% | 21,9 k € | -75.7% | 90,2 k € | +346.3% | 20,2 k € | +5.1% | 19,2 k € | +112.6% | 9,1 k € | -90.9% | 99,4 k € | |
| Debts | 18,6 k € | +0.0% | 18,6 k € | +8.3% | 17,1 k € | +0.3% | 17,1 k € | -32.8% | 25,4 k € | +54.9% | 16,4 k € | -61.8% | 43,0 k € | -47.1% | 81,3 k € | -19.8% | 101,4 k € | -92.2% | 1,3 M € | +88.1% | 693,2 k € | +73.2% | 400,3 k € | +24.7% | 321,1 k € | -45.5% | 589,1 k € | -58.0% | 1,4 M € | |
| Staff | — | — | — | — | — | — | — | — | — | 2,5 | 3 | 3 | 3 | 3 | — | |||||||||||||||
Public limited company · Rendeux · incorporated on 08/03/2010
Public limited company loss-making in the latest fiscal year. Cash position declining (-61.1%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
ACTU-HOME is a Public limited company incorporated in 2010. Its registered office is in Rendeux.
Key indicators
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Source: Belgian Official Gazette