| 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | |||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Gross margin | 497,4 k € | +39.8% | 355,7 k € | +40.2% | 253,8 k € | +58.8% | 159,9 k € | -15.2% | 188,4 k € | -21.2% | 239,1 k € | +76.6% | 135,4 k € | -48.7% | 264,2 k € | -11.3% | 297,9 k € | +53.1% | 194,6 k € | +202.8% | 64,3 k € | -42.1% | 111,0 k € | |
| EBITDA | 245,5 k € | +123.3% | 109,9 k € | +4699.0% | 2,3 k € | +103.1% | -74,5 k € | -861.8% | 9,8 k € | -58.3% | 23,4 k € | +124.9% | -94,0 k € | -793.4% | 13,6 k € | -64.6% | 38,3 k € | -8.7% | 42,0 k € | +148.2% | -87,1 k € | -3006.8% | 3,0 k € | |
| Operating profit | 244,7 k € | +124.7% | 108,9 k € | +8410.1% | 1,3 k € | +101.7% | -75,4 k € | -1060.7% | 7,9 k € | -62.4% | 20,9 k € | +121.7% | -96,1 k € | -906.9% | 11,9 k € | -68.9% | 38,3 k € | -8.7% | 42,0 k € | +148.2% | -87,1 k € | -3006.8% | 3,0 k € | |
| Profit/loss | 177,3 k € | +64.0% | 108,1 k € | +50795.8% | 212,4 € | +100.3% | -70,7 k € | -9296.2% | 768,7 € | -94.8% | 14,8 k € | +114.6% | -100,7 k € | -2557.0% | 4,1 k € | -88.3% | 34,9 k € | -16.1% | 41,6 k € | +147.8% | -87,1 k € | -2737.5% | 3,3 k € | |
| Equity | 276,6 k € | +178.5% | 99,3 k € | +1231.0% | -8,8 k € | +2.4% | -9,0 k € | -114.6% | 61,7 k € | +1.3% | 60,9 k € | +32.0% | 46,2 k € | -68.6% | 146,9 k € | +2.9% | 142,8 k € | +32.4% | 107,9 k € | +62.9% | 66,2 k € | -56.8% | 153,3 k € | |
| Total assets | 1,8 M € | +0.5% | 1,8 M € | +45.2% | 1,2 M € | +66.8% | 741,2 k € | -15.2% | 873,8 k € | +40.7% | 620,9 k € | +61.6% | 384,3 k € | -48.3% | 743,9 k € | +126.8% | 328,0 k € | -2.7% | 337,1 k € | +40.3% | 240,3 k € | -16.6% | 288,3 k € | |
| Cash | 55,6 k € | -17.1% | 67,1 k € | +548.3% | 10,4 k € | -60.9% | 26,5 k € | -62.8% | 71,0 k € | +10.1% | 64,5 k € | +11.4% | 57,9 k € | +45.8% | 39,7 k € | +57.5% | 25,2 k € | -85.5% | 173,7 k € | +265.7% | 47,5 k € | +296.7% | 12,0 k € | |
| Debts | 791,9 k € | -31.7% | 1,2 M € | +13.9% | 1,0 M € | +35.8% | 750,2 k € | -7.6% | 812,1 k € | +45.0% | 560,0 k € | +65.6% | 338,1 k € | -41.4% | 577,0 k € | +360.9% | 125,2 k € | +9.4% | 114,5 k € | -32.9% | 170,6 k € | +26.4% | 135,0 k € | |
| Staff | 0 | 2 | 2 | 2,6 | 2,2 | 2,7 | — | — | 2 | 2 | 2 | 1,6 | ||||||||||||
Public limited company · Lier · incorporated on 27/03/2012 · 0,0 ETP
Public limited company profitable and well capitalised. Cash position declining (-17.1%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
CONTENTSERV BENELUX is a Public limited company incorporated in 2012. Its main activity is: Wholesale of information and communication equipment. Its registered office is in Lier.
Key indicators
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Source: Belgian Official Gazette