| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | |||||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Gross margin | -7,8 k € | -409.8% | -1,5 k € | -108.6% | 18,0 k € | +31.9% | 13,6 k € | +2346.1% | -606,1 € | +74.9% | -2,4 k € | -102.6% | 93,6 k € | -2.8% | 96,3 k € | +3013.2% | -3,3 k € | +79.1% | -15,8 k € | -365.8% | 6,0 k € | +148.0% | -12,4 k € | -135.6% | -5,3 k € | -152.3% | 10,1 k € | -62.1% | 26,5 k € | +217.4% | -22,6 k € | +42.2% | -39,1 k € | -203.2% | 37,9 k € | |
| EBITDA | -8,2 k € | -328.0% | -1,9 k € | -111.0% | 17,4 k € | +31.5% | 13,3 k € | +806.5% | -1,9 k € | +32.1% | -2,8 k € | -103.0% | 93,2 k € | -1.6% | 94,8 k € | +331.5% | -40,9 k € | -107.4% | -19,7 k € | -1106.3% | 2,0 k € | +112.2% | -16,1 k € | -80.7% | -8,9 k € | -286.3% | 4,8 k € | -81.6% | 25,9 k € | +187.2% | -29,7 k € | +37.5% | -47,6 k € | -297.9% | 24,0 k € | |
| Operating profit | -8,2 k € | -286.2% | -2,1 k € | -112.2% | 17,4 k € | +31.5% | 13,3 k € | +806.5% | -1,9 k € | +32.1% | -2,8 k € | -103.0% | 93,2 k € | -1.6% | 94,8 k € | +331.5% | -40,9 k € | -97.0% | -20,8 k € | -681.4% | -2,7 k € | +87.1% | -20,7 k € | -40.3% | -14,7 k € | -119.8% | -6,7 k € | -148.2% | 13,9 k € | +131.4% | -44,3 k € | +30.6% | -63,8 k € | -866.4% | 8,3 k € | |
| Profit/loss | -8,4 k € | -21.7% | -6,9 k € | -139.4% | 17,4 k € | +56.2% | 11,2 k € | +643.1% | -2,1 k € | +28.7% | -2,9 k € | -103.1% | 93,1 k € | -1.6% | 94,6 k € | +330.8% | -41,0 k € | -96.5% | -20,9 k € | -646.9% | -2,8 k € | +86.5% | -20,7 k € | -36.1% | -15,2 k € | -93.1% | -7,9 k € | -155.9% | 14,1 k € | +131.8% | -44,3 k € | +31.5% | -64,6 k € | -1173.9% | 6,0 k € | |
| Equity | 11,6 k € | -41.8% | 20,0 k € | -25.6% | 26,8 k € | +185.8% | 9,4 k € | +627.6% | -1,8 k € | -742.3% | 277,2 € | -91.2% | 3,2 k € | +103.5% | -90,0 k € | +51.3% | -184,6 k € | -28.6% | -143,6 k € | -17.0% | -122,7 k € | -2.3% | -119,9 k € | -20.8% | -99,2 k € | -18.1% | -84,1 k € | -10.3% | -76,2 k € | +15.6% | -90,3 k € | -96.2% | -46,0 k € | -347.9% | 18,6 k € | |
| Total assets | 13,5 k € | -44.6% | 24,4 k € | -64.6% | 68,7 k € | -11.8% | 77,9 k € | -7.2% | 83,9 k € | -27.4% | 115,6 k € | -30.9% | 167,5 k € | +68.7% | 99,2 k € | +659.5% | 13,1 k € | -63.0% | 35,4 k € | -29.5% | 50,2 k € | -7.7% | 54,3 k € | -9.6% | 60,1 k € | -21.7% | 76,7 k € | +3.3% | 74,3 k € | -3.8% | 77,2 k € | -31.6% | 113,0 k € | -17.7% | 137,2 k € | |
| Cash | 7,6 k € | -64.2% | 21,2 k € | -16.1% | 25,3 k € | +29.0% | 19,6 k € | +246.7% | 5,6 k € | -44.9% | 10,3 k € | -64.9% | 29,2 k € | +310.8% | 7,1 k € | -1.7% | 7,2 k € | -69.5% | 23,7 k € | -10.0% | 26,3 k € | +2.6% | 25,7 k € | -2.6% | 26,4 k € | -37.6% | 42,3 k € | +61.2% | 26,2 k € | +31.3% | 20,0 k € | +325.1% | 4,7 k € | +145.1% | 1,9 k € | |
| Debts | 1,9 k € | -57.2% | 4,4 k € | -89.5% | 41,9 k € | -38.9% | 68,5 k € | -20.0% | 85,7 k € | -25.7% | 115,4 k € | -7.5% | 124,7 k € | -34.1% | 189,2 k € | -4.3% | 197,7 k € | +10.5% | 178,9 k € | +3.5% | 172,9 k € | -0.8% | 174,3 k € | +9.4% | 159,4 k € | -0.4% | 160,0 k € | +6.3% | 150,5 k € | -8.9% | 165,2 k € | +3.9% | 159,0 k € | +36.1% | 116,8 k € | |
Private limited company · Bruxelles · incorporated on 26/02/2008
Private limited company loss-making in the latest fiscal year. Cash position declining (-64.2%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
ACTIVE P.A. is a Private limited company incorporated in 2008. Its main activity is: Public relations and communication activities. Its registered office is in Bruxelles.
Key indicators
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Source: Belgian Official Gazette