| 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | ||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Revenue | — | — | — | — | 144,9 k € | -13.0% | 166,5 k € | +17.7% | 141,5 k € | +13.4% | 124,8 k € | +2.4% | 121,9 k € | -31.1% | 177,0 k € | +7.8% | 164,1 k € | +10.4% | 148,7 k € | -45.6% | 273,5 k € | |||||
| Gross margin | 60,0 k € | -19.8% | 74,8 k € | +61.0% | 46,5 k € | -15.7% | 55,1 k € | -51.2% | 113,0 k € | +164.8% | 42,7 k € | +103.1% | 21,0 k € | -27.2% | 28,8 k € | +16.6% | 24,7 k € | -50.4% | 49,9 k € | -4.8% | 52,4 k € | +25.7% | 41,6 k € | -58.5% | 100,4 k € | |
| EBITDA | 55,6 k € | -17.9% | 67,7 k € | +61.4% | 41,9 k € | -16.9% | 50,5 k € | -50.5% | 102,0 k € | +169.9% | 37,8 k € | +122.8% | 17,0 k € | +39.0% | 12,2 k € | -40.2% | 20,4 k € | -54.9% | 45,3 k € | -6.6% | 48,5 k € | -0.4% | 48,7 k € | -44.0% | 86,9 k € | |
| Operating profit | -33,9 k € | -1010.8% | 3,7 k € | +198.2% | -3,8 k € | -146.1% | 8,2 k € | -86.2% | 59,6 k € | +122.0% | 26,8 k € | +321.7% | 6,4 k € | +294.4% | -3,3 k € | -169.4% | 4,7 k € | -75.0% | 18,9 k € | +221.5% | 5,9 k € | +50.7% | 3,9 k € | -87.7% | 31,6 k € | |
| Profit/loss | -27,9 k € | -2250.3% | 1,3 k € | +129.0% | -4,5 k € | -148.2% | 9,3 k € | -74.8% | 36,9 k € | +93.4% | 19,1 k € | +700.2% | -3,2 k € | +80.5% | -16,3 k € | -303.9% | -4,0 k € | -12115.2% | -33,0 € | -100.6% | 5,4 k € | +169.9% | -7,7 k € | -177.7% | 9,9 k € | |
| Equity | 57,7 k € | -28.1% | 80,3 k € | +9.0% | 73,7 k € | -7.3% | 79,5 k € | +11.1% | 71,6 k € | +360.5% | 15,6 k € | +540.3% | -3,5 k € | -903.4% | -352,0 € | -102.2% | 15,9 k € | -20.2% | 20,0 k € | -0.2% | 20,0 k € | +36.8% | 14,6 k € | -34.5% | 22,3 k € | |
| Total assets | 908,0 k € | -5.7% | 963,0 k € | +28.9% | 747,1 k € | -6.3% | 797,7 k € | -8.5% | 871,5 k € | -7.5% | 941,8 k € | +132.0% | 406,0 k € | +2.1% | 397,7 k € | -4.9% | 418,4 k € | -2.9% | 430,7 k € | +10.1% | 391,3 k € | -17.2% | 472,7 k € | +23.4% | 382,9 k € | |
| Cash | 129,0 k € | -14.5% | 150,8 k € | +77.9% | 84,8 k € | -28.8% | 119,1 k € | +60.1% | 74,4 k € | +614.2% | 10,4 k € | +173516.7% | 6,0 € | 0.0% | 6,0 € | -99.9% | 9,8 k € | -25.0% | 13,0 k € | +290.6% | 3,3 k € | -63.1% | 9,0 k € | -32.7% | 13,4 k € | |
| Debts | 843,0 k € | -2.9% | 868,3 k € | +33.2% | 651,9 k € | -6.2% | 694,9 k € | -10.3% | 774,4 k € | -16.4% | 925,7 k € | +126.3% | 409,0 k € | +2.9% | 397,5 k € | -1.1% | 402,0 k € | -2.1% | 410,7 k € | +10.6% | 371,3 k € | -18.9% | 458,0 k € | +30.6% | 350,6 k € | |
Private limited company · Liège · incorporated on 22/06/2011
Private limited company loss-making in the latest fiscal year. Cash position declining (-14.5%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
BAGLIO MANUTENTION is a Private limited company incorporated in 2011. Its main activity is: Rental and leasing of construction and civil engineering machinery and equipment. Its registered office is in Liège.
Key indicators
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Source: Belgian Official Gazette