| 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | |||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Gross margin | -56,7 k € | +33.9% | -85,8 k € | -109.2% | 929,2 k € | +0.9% | 921,2 k € | +25.4% | 734,3 k € | -40.2% | 1,2 M € | +3.2% | 1,2 M € | +1.8% | 1,2 M € | +27.0% | 919,7 k € | +8.9% | 844,4 k € | -2.3% | 864,0 k € | +0.1% | 863,0 k € | |
| EBITDA | -56,8 k € | +57.3% | -133,1 k € | -116.4% | 809,9 k € | +89.8% | 426,8 k € | +31.5% | 324,5 k € | -26.9% | 444,1 k € | +0.1% | 443,8 k € | +0.6% | 441,3 k € | +26.2% | 349,8 k € | +30.0% | 269,0 k € | +1.4% | 265,3 k € | +4.4% | 254,0 k € | |
| Operating profit | -139,8 k € | -12.0% | -124,8 k € | -121.3% | 584,7 k € | +20888.9% | -2,8 k € | +97.9% | -132,3 k € | -1031.4% | 14,2 k € | +258.0% | -9,0 k € | -8.2% | -8,3 k € | -173.7% | 11,3 k € | -45.7% | 20,8 k € | +33.7% | 15,5 k € | -53.7% | 33,5 k € | |
| Profit/loss | -138,8 k € | +1.7% | -141,2 k € | -126.5% | 533,1 k € | +2616.1% | -21,2 k € | +86.3% | -154,2 k € | -1483.7% | -9,7 k € | +72.4% | -35,3 k € | -21.1% | -29,1 k € | -3983.7% | 750,1 € | -99.1% | 82,6 k € | +5.6% | 78,2 k € | +457.9% | 14,0 k € | |
| Equity | 500,9 k € | -21.7% | 639,7 k € | -18.1% | 780,9 k € | +369.6% | 166,3 k € | -11.3% | 187,5 k € | -45.1% | 341,7 k € | -2.8% | 351,4 k € | -9.1% | 386,7 k € | -7.0% | 415,8 k € | +0.2% | 415,0 k € | +24.9% | 332,4 k € | +30.8% | 254,2 k € | |
| Total assets | 987,9 k € | -26.5% | 1,3 M € | -31.3% | 2,0 M € | +27.4% | 1,5 M € | -32.1% | 2,3 M € | +5.4% | 2,1 M € | +3.8% | 2,1 M € | -10.6% | 2,3 M € | +47.5% | 1,6 M € | +34.6% | 1,2 M € | -9.6% | 1,3 M € | +8.1% | 1,2 M € | |
| Cash | 821,3 k € | -30.0% | 1,2 M € | -28.6% | 1,6 M € | +601.5% | 234,4 k € | -53.4% | 503,1 k € | +56.7% | 321,1 k € | +38.5% | 231,8 k € | +0.7% | 230,2 k € | +72.3% | 133,6 k € | -25.0% | 178,2 k € | +168.3% | 66,4 k € | +56.9% | 42,3 k € | |
| Debts | 179,8 k € | -62.5% | 479,4 k € | -49.6% | 951,2 k € | -30.6% | 1,4 M € | -34.0% | 2,1 M € | +14.9% | 1,8 M € | +5.2% | 1,7 M € | -10.9% | 1,9 M € | +67.2% | 1,2 M € | +53.6% | 750,0 k € | -20.6% | 944,3 k € | +1.8% | 927,7 k € | |
| Staff | — | — | — | 16,3 | 19,4 | 19,9 | 17,3 | 18,6 | 13,4 | 13,9 | 15,8 | 15,9 | ||||||||||||
Private company with limited liability · Poperinge · incorporated on 03/10/2012
Company — Judicial dissolution or nullity.
Private company with limited liability loss-making in the latest fiscal year. Cash position declining (-30.0%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
REIZEN SUFFIS is a Private company with limited liability incorporated in 2012. Its main activity is: Taxi operation. Its registered office is in Poperinge.
Key indicators
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