| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | |||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Gross margin | -11,0 k € | +12.4% | -12,6 k € | -155.0% | 22,9 k € | +11.8% | 20,5 k € | +10.6% | 18,5 k € | +256.0% | -11,9 k € | -29.8% | -9,1 k € | +31.1% | -13,3 k € | -79.9% | -7,4 k € | -3.4% | -7,1 k € | -106.3% | 114,1 k € | +2268.3% | -5,3 k € | +10.5% | -5,9 k € | +22.4% | -7,6 k € | |
| EBITDA | -12,1 k € | +11.3% | -13,7 k € | -165.0% | 21,0 k € | +19.4% | 17,6 k € | -2.6% | 18,1 k € | +237.8% | -13,1 k € | -5.0% | -12,5 k € | +13.6% | -14,5 k € | -61.7% | -8,9 k € | -4.3% | -8,6 k € | -107.6% | 113,2 k € | +1916.5% | -6,2 k € | +1.4% | -6,3 k € | +23.5% | -8,3 k € | |
| Operating profit | -12,1 k € | +11.3% | -13,7 k € | -165.0% | 21,0 k € | +19.4% | 17,6 k € | -2.6% | 18,1 k € | +237.8% | -13,1 k € | -5.0% | -12,5 k € | +13.6% | -14,5 k € | -61.7% | -8,9 k € | -4.3% | -8,6 k € | -107.6% | 113,2 k € | +1916.5% | -6,2 k € | +1.4% | -6,3 k € | +47.7% | -12,1 k € | |
| Profit/loss | 34,4 k € | -56.9% | 79,8 k € | +47.0% | 54,3 k € | +132.6% | 23,3 k € | -9.9% | 25,9 k € | +53.7% | 16,9 k € | +83.6% | 9,2 k € | -71.9% | 32,7 k € | -9.8% | 36,2 k € | -93.5% | 556,2 k € | -72.5% | 2,0 M € | +4450.2% | -46,5 k € | -484.6% | -7,9 k € | +41.0% | -13,5 k € | |
| Equity | 10,9 M € | -0.0% | 10,9 M € | +0.7% | 10,8 M € | +0.2% | 10,8 M € | -0.0% | 10,8 M € | -0.0% | 10,8 M € | -0.1% | 10,8 M € | -0.1% | 10,8 M € | +0.1% | 10,8 M € | +0.1% | 10,8 M € | +5.2% | 10,3 M € | +24.2% | 8,3 M € | -0.6% | 8,3 M € | -0.1% | 8,3 M € | |
| Total assets | 11,0 M € | +0.1% | 11,0 M € | -0.0% | 11,0 M € | +0.3% | 11,0 M € | +0.1% | 11,0 M € | +0.3% | 11,0 M € | +0.4% | 10,9 M € | -0.1% | 10,9 M € | +0.2% | 10,9 M € | -0.7% | 11,0 M € | +5.3% | 10,4 M € | +12.6% | 9,3 M € | +11.0% | 8,3 M € | +0.0% | 8,3 M € | |
| Cash | 431,1 k € | +239.0% | 127,2 k € | +60.3% | 79,3 k € | -20.4% | 99,6 k € | -23.5% | 130,2 k € | +18.6% | 109,8 k € | -52.3% | 230,3 k € | +64.9% | 139,7 k € | +13.8% | 122,8 k € | -22.7% | 158,9 k € | +295.0% | 40,2 k € | +1926.4% | 2,0 k € | +187.1% | 691,6 € | — | ||
| Debts | 125,6 k € | +8.4% | 115,8 k € | -40.7% | 195,2 k € | +1.5% | 192,2 k € | +7.2% | 179,3 k € | +23.1% | 145,7 k € | +49.1% | 97,7 k € | +0.4% | 97,3 k € | +17.4% | 82,9 k € | -51.5% | 171,1 k € | +11.7% | 153,1 k € | -84.5% | 989,6 k € | +3883.6% | 24,8 k € | +65.3% | 15,0 k € | |
Private limited company · Roeselare · incorporated on 24/12/2010
Private limited company profitable and well capitalised. Cash position rising (+239.0%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
Petrani is a Private limited company incorporated in 2010. Its main activity is: Activities of head offices. Its registered office is in Roeselare.
Key indicators
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Source: Belgian Official Gazette