| 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | ||||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Revenue | — | — | — | — | — | — | — | — | — | — | — | — | — | — | 66,0 k € | — | — | |||||||||||||||||
| Gross margin | 211,4 k € | -27.4% | 291,1 k € | -41.1% | 494,4 k € | -18.1% | 603,3 k € | +43.8% | 419,5 k € | +4.6% | 401,1 k € | -18.7% | 493,4 k € | +34.4% | 367,2 k € | -7.7% | 397,8 k € | -13.5% | 460,1 k € | +18.2% | 389,2 k € | +8.7% | 358,1 k € | +101.5% | 177,7 k € | +96.8% | 90,3 k € | +1337.1% | -7,3 k € | -116.0% | 45,7 k € | -15.0% | 53,8 k € | |
| EBITDA | 201,6 k € | -30.5% | 290,1 k € | -41.2% | 493,0 k € | -17.9% | 600,6 k € | +49.1% | 402,9 k € | +0.9% | 399,5 k € | -18.8% | 492,2 k € | +34.6% | 365,7 k € | -7.8% | 396,8 k € | -13.2% | 457,1 k € | +19.5% | 382,6 k € | +7.3% | 356,7 k € | +102.2% | 176,4 k € | +97.8% | 89,2 k € | +1235.4% | -7,9 k € | -117.4% | 45,2 k € | -13.4% | 52,1 k € | |
| Operating profit | 200,3 k € | -29.7% | 284,8 k € | -42.0% | 491,5 k € | -13.8% | 569,9 k € | +55.3% | 367,0 k € | +2.2% | 359,1 k € | -21.1% | 455,0 k € | +38.4% | 328,9 k € | -15.6% | 389,9 k € | -13.3% | 449,9 k € | +21.3% | 371,0 k € | +7.2% | 346,1 k € | +108.7% | 165,8 k € | +132.0% | 71,5 k € | +484.2% | -18,6 k € | -153.3% | 34,9 k € | -16.0% | 41,6 k € | |
| Profit/loss | 130,8 k € | -33.8% | 197,5 k € | -47.2% | 374,3 k € | -13.6% | 433,3 k € | +55.1% | 279,3 k € | +6.2% | 263,0 k € | -20.8% | 332,1 k € | +50.8% | 220,2 k € | -13.0% | 253,0 k € | -8.7% | 277,2 k € | +21.4% | 228,2 k € | +1.5% | 224,8 k € | +112.3% | 105,9 k € | +98.4% | 53,4 k € | +268.0% | -31,8 k € | -235.0% | 23,5 k € | -12.8% | 27,0 k € | |
| Equity | 620,5 k € | +29.9% | 477,7 k € | -29.1% | 673,8 k € | +81.8% | 370,7 k € | -57.9% | 879,9 k € | +20.4% | 730,9 k € | -37.0% | 1,2 M € | +23.1% | 942,5 k € | +30.5% | 722,3 k € | +53.9% | 469,3 k € | +144.3% | 192,1 k € | +5.9% | 181,4 k € | +994.2% | 16,6 k € | +12.8% | 14,7 k € | +3.1% | 14,3 k € | -76.1% | 59,7 k € | +58.0% | 37,8 k € | |
| Total assets | 631,6 k € | +26.2% | 500,5 k € | -27.3% | 688,5 k € | -14.3% | 803,5 k € | -13.8% | 932,2 k € | -17.8% | 1,1 M € | -8.9% | 1,2 M € | +19.7% | 1,0 M € | +31.5% | 791,2 k € | +35.4% | 584,2 k € | +87.7% | 311,3 k € | +5.1% | 296,3 k € | +123.0% | 132,9 k € | +25.7% | 105,7 k € | +4.8% | 100,8 k € | +6.6% | 94,6 k € | +37.3% | 68,9 k € | |
| Cash | 581,1 k € | +182.6% | 205,6 k € | -37.2% | 327,4 k € | -16.5% | 392,0 k € | -34.6% | 599,1 k € | -31.1% | 869,2 k € | -5.2% | 916,8 k € | +22.3% | 749,6 k € | +37.5% | 545,3 k € | +90.6% | 286,0 k € | +361.9% | 61,9 k € | -25.4% | 83,0 k € | +352.0% | 18,4 k € | +266.0% | 5,0 k € | -62.4% | 13,4 k € | -81.0% | 70,4 k € | +87.8% | 37,5 k € | |
| Debts | 11,2 k € | -51.1% | 22,8 k € | +55.0% | 14,7 k € | -96.6% | 432,8 k € | +728.6% | 52,2 k € | -87.1% | 403,5 k € | +377.7% | 84,5 k € | -13.7% | 97,8 k € | +54.7% | 63,2 k € | -45.0% | 115,0 k € | -3.6% | 119,2 k € | +3.8% | 114,9 k € | -1.1% | 116,2 k € | +27.8% | 90,9 k € | +5.0% | 86,6 k € | +148.3% | 34,9 k € | +12.1% | 31,1 k € | |
Private limited company · Sprimont · incorporated on 09/10/2007
Private limited company profitable and well capitalised. Cash position rising (+182.6%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
BODSON-FRANCOIS is a Private limited company incorporated in 2007. Its main activity is: Other human health activities. Its registered office is in Sprimont.
Key indicators
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Source: Belgian Official Gazette