| 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | ||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Gross margin | 102,1 k € | -36.0% | 159,5 k € | +22.1% | 130,7 k € | +306.9% | 32,1 k € | -15.9% | 38,2 k € | +43.4% | 26,6 k € | -39.3% | 43,9 k € | +3.8% | 42,2 k € | -73.0% | 156,6 k € | +3.4% | 151,6 k € | +902.3% | 15,1 k € | -52.3% | 31,7 k € | — | ||
| EBITDA | 100,5 k € | +153.5% | 39,6 k € | -53.9% | 86,0 k € | +174.6% | 31,3 k € | -13.6% | 36,2 k € | +554.1% | 5,5 k € | -86.8% | 41,9 k € | +232.6% | 12,6 k € | -87.7% | 102,1 k € | +6.5% | 95,9 k € | +561.7% | 14,5 k € | -54.1% | 31,6 k € | — | ||
| Operating profit | 94,9 k € | +178.4% | 34,1 k € | -53.3% | 73,0 k € | +193.9% | 24,8 k € | -24.1% | 32,7 k € | +1001.7% | 3,0 k € | -91.9% | 36,5 k € | +260.9% | 10,1 k € | -90.0% | 100,9 k € | +52.7% | 66,1 k € | +398.9% | 13,2 k € | -57.9% | 31,4 k € | — | ||
| Profit/loss | -1,5 k € | -106.4% | 23,6 k € | -63.4% | 64,6 k € | +281.1% | 16,9 k € | +517.0% | 2,7 k € | +52.7% | 1,8 k € | -94.6% | 33,0 k € | +13375.2% | -248,7 € | -100.3% | 86,9 k € | +83.1% | 47,5 k € | +339.9% | 10,8 k € | -67.8% | 33,5 k € | +5446.7% | -626,7 € | |
| Equity | 211,7 k € | -0.7% | 213,2 k € | +12.5% | 189,6 k € | +30.7% | 145,0 k € | +13.2% | 128,1 k € | +2.2% | 125,3 k € | +1.5% | 123,5 k € | +8.8% | 113,5 k € | -0.2% | 113,7 k € | +70.3% | 66,8 k € | +159.8% | 25,7 k € | +35.9% | 18,9 k € | +3606.6% | 510,4 € | |
| Total assets | 395,3 k € | -17.5% | 479,2 k € | -29.3% | 677,8 k € | +10.8% | 611,9 k € | +81.1% | 337,8 k € | -13.9% | 392,3 k € | +2.5% | 382,8 k € | +9.1% | 350,9 k € | +35.9% | 258,1 k € | +66.7% | 154,9 k € | +303.5% | 38,4 k € | +19.1% | 32,2 k € | +6213.7% | 510,4 € | |
| Cash | 159,6 k € | -52.6% | 336,7 k € | -27.4% | 464,0 k € | +25.1% | 370,8 k € | +23.2% | 301,0 k € | +19.5% | 251,8 k € | -9.0% | 276,9 k € | +7.3% | 257,9 k € | +41.8% | 181,9 k € | +63.6% | 111,2 k € | +697.6% | 13,9 k € | +11.7% | 12,5 k € | +1450889.5% | 0,9 € | |
| Debts | 183,6 k € | -3.9% | 191,1 k € | -60.9% | 488,2 k € | +4.6% | 466,9 k € | +122.6% | 209,8 k € | -21.4% | 267,0 k € | +3.0% | 259,3 k € | +22.4% | 211,9 k € | +113.2% | 99,4 k € | +57.6% | 63,1 k € | +397.9% | 12,7 k € | -4.8% | 13,3 k € | — | ||
| Staff | — | — | — | — | — | — | — | — | — | 1 | — | — | — | |||||||||||||
Private company with limited liability · Anderlecht · incorporated on 14/09/2010
Private company with limited liability loss-making in the latest fiscal year. Cash position declining (-52.6%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
DAYS CONSULTING & SERVICES is a Private company with limited liability incorporated in 2010. Its main activity is: Computer consultancy activities. Its registered office is in Anderlecht.
Key indicators
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Source: Belgian Official Gazette