| 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | ||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Gross margin | 621,2 k € | +39.8% | 444,2 k € | +9.3% | 406,3 k € | +8.6% | 374,3 k € | +71.1% | 218,8 k € | +47.3% | 148,5 k € | +158.4% | 57,5 k € | -16.3% | 68,7 k € | +5.0% | 65,4 k € | +92.8% | 33,9 k € | -33.8% | 51,3 k € | -27.2% | 70,4 k € | +13.3% | 62,1 k € | |
| EBITDA | 571,5 k € | +53.8% | 371,5 k € | +7.6% | 345,4 k € | -2.6% | 354,6 k € | +85.8% | 190,8 k € | +46.3% | 130,4 k € | +156.1% | 50,9 k € | -18.2% | 62,3 k € | +5.6% | 59,0 k € | +123.3% | 26,4 k € | -38.7% | 43,1 k € | -32.6% | 64,0 k € | +2.9% | 62,1 k € | |
| Operating profit | 447,0 k € | +106.5% | 216,5 k € | +11.7% | 193,9 k € | +3.7% | 186,9 k € | +1544.7% | 11,4 k € | -77.7% | 50,9 k € | +48.2% | 34,4 k € | -23.7% | 45,0 k € | +7.9% | 41,7 k € | +355.6% | 9,2 k € | +393.6% | -3,1 k € | -111.7% | 26,6 k € | -40.2% | 44,5 k € | |
| Profit/loss | 275,3 k € | +160.8% | 105,6 k € | -2.0% | 107,8 k € | +16.6% | 92,5 k € | +428.8% | -28,1 k € | -201.8% | 27,6 k € | +43.1% | 19,3 k € | -30.6% | 27,8 k € | +71.4% | 16,2 k € | +210.4% | -14,7 k € | +57.8% | -34,8 k € | -619.6% | 6,7 k € | +112.8% | -52,4 k € | |
| Equity | 567,3 k € | +94.3% | 292,0 k € | +56.6% | 186,4 k € | +137.1% | 78,6 k € | +668.2% | -13,8 k € | -196.9% | 14,3 k € | +207.2% | -13,3 k € | +59.2% | -32,6 k € | +46.0% | -60,4 k € | +21.2% | -76,7 k € | -23.7% | -62,0 k € | -128.3% | -27,1 k € | +19.8% | -33,8 k € | |
| Total assets | 3,8 M € | -17.0% | 4,5 M € | +1.7% | 4,5 M € | -6.5% | 4,8 M € | +5.3% | 4,5 M € | +202.4% | 1,5 M € | +214.4% | 477,0 k € | -3.2% | 492,6 k € | -3.4% | 509,9 k € | -3.3% | 527,0 k € | -27.5% | 727,4 k € | -8.3% | 793,6 k € | +35.2% | 587,1 k € | |
| Cash | 54,5 k € | -61.6% | 142,0 k € | -49.7% | 282,5 k € | +51.5% | 186,4 k € | +292.0% | 47,6 k € | +75.6% | 27,1 k € | +1463.8% | 1,7 k € | +119.7% | 788,2 € | -0.6% | 792,7 € | +17.7% | 673,6 € | +35.4% | 497,4 € | -98.8% | 40,6 k € | +195.7% | 13,7 k € | |
| Debts | 3,2 M € | -24.2% | 4,2 M € | -0.8% | 4,3 M € | -8.3% | 4,6 M € | +2.6% | 4,5 M € | +208.7% | 1,5 M € | +199.4% | 490,3 k € | -6.4% | 523,9 k € | -8.1% | 570,3 k € | -5.5% | 603,7 k € | -23.5% | 789,3 k € | -3.8% | 820,7 k € | +32.2% | 621,0 k € | |
Private company with limited liability · Uccle · incorporated on 31/10/2011
Company — Voluntary dissolution - liquidation.
Private company with limited liability profitable and well capitalised. Cash position declining (-61.6%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
JOS DENTAL is a Private company with limited liability incorporated in 2011. Its registered office is in Uccle.
Key indicators
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Source: Belgian Official Gazette