| 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2012 | |||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Gross margin | 398,1 k € | +15.1% | 346,0 k € | -5.2% | 364,8 k € | +3.4% | 353,0 k € | -25.4% | 473,0 k € | +3.9% | 455,2 k € | -0.8% | 458,6 k € | +4.1% | 440,6 k € | -10.5% | 492,5 k € | +3.0% | 478,2 k € | -12.9% | 549,1 k € | +9085.2% | -6,1 k € | |
| EBITDA | 222,2 k € | +78.6% | 124,4 k € | -26.2% | 168,5 k € | +47.9% | 113,9 k € | -12.0% | 129,4 k € | +3374.8% | 3,7 k € | -74.3% | 14,5 k € | -72.1% | 51,9 k € | -40.8% | 87,7 k € | +18.3% | 74,2 k € | -18.5% | 91,0 k € | +1417.4% | -6,9 k € | |
| Operating profit | 201,0 k € | +92.3% | 104,5 k € | -23.8% | 137,3 k € | +72.0% | 79,8 k € | -6.1% | 85,0 k € | +287.6% | -45,3 k € | -63.6% | -27,7 k € | -242.8% | 19,4 k € | -60.1% | 48,6 k € | +43.8% | 33,8 k € | -0.4% | 33,9 k € | +591.3% | -6,9 k € | |
| Profit/loss | 162,9 k € | +91.6% | 85,0 k € | -22.4% | 109,6 k € | +87.4% | 58,5 k € | -8.0% | 63,5 k € | +275.3% | -36,3 k € | -246.6% | -10,5 k € | -283.2% | 5,7 k € | -76.2% | 24,0 k € | +97.0% | 12,2 k € | -39.5% | 20,1 k € | +390.5% | -6,9 k € | |
| Equity | 531,1 k € | +21.2% | 438,2 k € | +11.4% | 393,1 k € | +17.9% | 333,6 k € | +21.3% | 275,1 k € | +30.0% | 211,6 k € | -14.6% | 247,8 k € | -4.0% | 258,3 k € | +2.3% | 252,6 k € | +10.5% | 228,6 k € | +5.6% | 216,4 k € | +1754.0% | 11,7 k € | |
| Total assets | 676,2 k € | +24.9% | 541,3 k € | -10.0% | 601,6 k € | +9.6% | 549,1 k € | +19.9% | 458,0 k € | -27.1% | 628,4 k € | +16.7% | 538,7 k € | +17.8% | 457,4 k € | -3.6% | 474,7 k € | -3.0% | 489,5 k € | +3.3% | 474,0 k € | +3648.2% | 12,6 k € | |
| Cash | 353,4 k € | +38.2% | 255,7 k € | +6.8% | 239,3 k € | +220.9% | 74,6 k € | +104.0% | 36,6 k € | -40.9% | 61,9 k € | +5936.5% | 1,0 k € | -98.5% | 67,1 k € | +18.1% | 56,8 k € | -3.1% | 58,6 k € | +15.9% | 50,6 k € | +305.6% | 12,5 k € | |
| Debts | 145,2 k € | +40.8% | 103,1 k € | -50.5% | 208,5 k € | -3.3% | 215,5 k € | +18.4% | 182,1 k € | -56.3% | 416,8 k € | +43.3% | 290,9 k € | +46.1% | 199,1 k € | -10.4% | 222,1 k € | -14.9% | 260,9 k € | +1.3% | 257,5 k € | +26421.5% | 971,0 € | |
| Staff | 3,2 | 3,2 | 4,1 | — | 5 | 8,9 | 9,3 | 8 | 8 | 8,1 | 9 | — | ||||||||||||
Private limited company · Braine-le-Château · incorporated on 30/11/2011 · 3,2 ETP
Private limited company profitable and well capitalised. Cash position rising (+38.2%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
M.C.V. Services is a Private limited company incorporated in 2011. Its main activity is: Development of building projects. Its registered office is in Braine-le-Château. It employs on average 3,2 ETP workers (FTE).
Key indicators
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Source: Belgian Official Gazette