| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | |||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Revenue | — | — | — | — | — | — | — | 1,0 M € | +3.1% | 1,0 M € | +1.6% | 987,2 k € | +3.4% | 954,7 k € | -2.0% | 973,8 k € | ||||||||
| Gross margin | 752,1 k € | +2.2% | 736,1 k € | +5.1% | 700,1 k € | -9.4% | 772,8 k € | +6.9% | 723,0 k € | +46.1% | 495,0 k € | -21.0% | 626,9 k € | +8.2% | 579,4 k € | +4.9% | 552,4 k € | -0.1% | 553,2 k € | +6.7% | 518,5 k € | +5.4% | 491,9 k € | |
| EBITDA | -59,3 k € | -7718.4% | 778,4 € | -96.8% | 24,6 k € | -77.8% | 110,8 k € | +109.0% | 53,0 k € | +164.4% | -82,3 k € | -265.8% | 49,7 k € | +503.7% | -12,3 k € | -21541.4% | 57,4 € | +106.2% | -922,0 € | -132.0% | 2,9 k € | -59.3% | 7,1 k € | |
| Operating profit | -64,3 k € | -2188.4% | -2,8 k € | -113.1% | 21,5 k € | -78.0% | 97,7 k € | +156.2% | 38,1 k € | +139.9% | -95,5 k € | -301.5% | 47,4 k € | +480.7% | -12,5 k € | -21797.8% | 57,4 € | +106.2% | -922,0 € | -132.0% | 2,9 k € | -59.3% | 7,1 k € | |
| Profit/loss | -63,6 k € | -2686.5% | -2,3 k € | -110.4% | 21,9 k € | -77.1% | 95,8 k € | +151.7% | 38,0 k € | +139.9% | -95,4 k € | -542.8% | 21,6 k € | +276.5% | -12,2 k € | -32.0% | -9,3 k € | -3587.9% | 265,4 € | -94.5% | 4,9 k € | -29.6% | 6,9 k € | |
| Equity | 684,0 k € | -8.5% | 747,6 k € | -0.3% | 749,9 k € | +3.0% | 728,0 k € | +15.1% | 632,3 k € | +6.4% | 594,2 k € | -13.8% | 689,7 k € | +3.2% | 668,1 k € | -1.8% | 680,3 k € | -1.3% | 689,6 k € | +0.0% | 689,3 k € | +0.7% | 684,5 k € | |
| Total assets | 1,7 M € | +22.5% | 1,4 M € | +18.9% | 1,2 M € | -1.9% | 1,2 M € | +17.1% | 1,0 M € | +23.0% | 817,1 k € | -6.6% | 875,3 k € | +1.2% | 864,6 k € | +2.5% | 843,4 k € | -1.7% | 858,2 k € | +8.4% | 791,9 k € | +1.1% | 782,9 k € | |
| Cash | 1,7 M € | +22.5% | 1,4 M € | +20.7% | 1,1 M € | +10.3% | 1,0 M € | +13.8% | 891,3 k € | +28.6% | 692,9 k € | +8.6% | 638,3 k € | -11.5% | 720,9 k € | -5.5% | 763,2 k € | +6.5% | 716,4 k € | -6.0% | 762,2 k € | +9.8% | 694,4 k € | |
| Debts | 792,9 k € | +74.0% | 455,7 k € | +74.7% | 260,9 k € | -21.1% | 330,6 k € | +17.5% | 281,3 k € | +75.0% | 160,7 k € | +71.7% | 93,6 k € | -14.0% | 108,8 k € | +11.8% | 97,3 k € | -22.0% | 124,8 k € | +54.6% | 80,7 k € | -18.0% | 98,4 k € | |
| Staff | 11 | 10,3 | 9,4 | 10,8 | 11 | 7,7 | 11,5 | 11,4 | 11,4 | 10,3 | 10,3 | 10,8 | ||||||||||||
Non-profit organization · Charleroi · incorporated on 21/03/2007 · 11,0 ETP
Non-profit organization loss-making in the latest fiscal year. Cash position rising (+22.5%).
Solid counterparty for a standard engagement.
Service de Garde de Médecine Générale de la Région de Charleroi is a Non-profit organization incorporated in 2007. Its main activity is: Pre-primary education. Its registered office is in Charleroi. It employs on average 11,0 ETP workers (FTE).
Key indicators
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Source: Belgian Official Gazette