| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | ||||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Gross margin | 351,2 k € | -23.1% | 456,7 k € | +9.4% | 417,4 k € | -4.9% | 439,0 k € | +29.6% | 338,8 k € | -2.8% | 348,4 k € | -26.9% | 476,7 k € | +28.7% | 370,5 k € | +9.5% | 338,5 k € | +24.5% | 271,8 k € | +10.2% | 246,6 k € | +4.8% | 235,3 k € | -11.2% | 265,2 k € | -46.8% | 498,1 k € | -38.8% | 813,5 k € | +118.0% | 373,2 k € | +103.4% | 183,5 k € | |
| EBITDA | -46,6 k € | -146.4% | 100,3 k € | +26.7% | 79,1 k € | -17.3% | 95,7 k € | +49.2% | 64,2 k € | -3.6% | 66,5 k € | -52.4% | 139,7 k € | +276.5% | 37,1 k € | -25.2% | 49,6 k € | +458.1% | 8,9 k € | -84.4% | 57,1 k € | -34.7% | 87,4 k € | +126.3% | -331,8 k € | -29.3% | -256,7 k € | -385.7% | 89,9 k € | +8.3% | 83,0 k € | +54.8% | 53,6 k € | |
| Operating profit | -155,1 k € | -3162.0% | 5,1 k € | -32.2% | 7,5 k € | -59.3% | 18,3 k € | +97.6% | 9,3 k € | -65.9% | 27,3 k € | -73.8% | 103,9 k € | +387.8% | 21,3 k € | -50.3% | 42,8 k € | +3464.5% | 1,2 k € | -97.4% | 47,1 k € | -38.5% | 76,5 k € | +120.6% | -370,5 k € | -26.3% | -293,4 k € | -642.1% | 54,1 k € | +18.0% | 45,9 k € | +276.3% | 12,2 k € | |
| Profit/loss | -164,5 k € | -2720.7% | 6,3 k € | +150.4% | 2,5 k € | -83.0% | 14,7 k € | +163.4% | 5,6 k € | -75.5% | 22,8 k € | -77.0% | 99,4 k € | +444.9% | 18,2 k € | -54.9% | 40,4 k € | +2983.6% | 1,3 k € | -96.2% | 34,1 k € | -95.0% | 686,3 k € | +281.9% | -377,3 k € | -24.0% | -304,1 k € | -3778.0% | 8,3 k € | -42.7% | 14,4 k € | +1449.6% | 931,8 € | |
| Equity | 128,1 k € | -56.2% | 292,6 k € | +2.2% | 286,3 k € | +0.9% | 283,8 k € | +5.5% | 269,1 k € | +2.1% | 263,5 k € | +9.5% | 240,7 k € | +70.4% | 141,3 k € | +14.8% | 123,0 k € | +48.9% | 82,6 k € | +1.6% | 81,3 k € | +72.2% | 47,2 k € | +107.4% | -639,1 k € | -144.0% | -261,9 k € | -720.0% | 42,2 k € | +24.3% | 34,0 k € | +73.9% | 19,5 k € | |
| Total assets | 945,6 k € | +18.2% | 800,0 k € | +8.7% | 735,8 k € | -4.9% | 773,6 k € | +18.2% | 654,4 k € | +3.5% | 632,5 k € | +12.7% | 561,1 k € | +41.1% | 397,6 k € | +36.8% | 290,6 k € | -29.5% | 412,4 k € | -9.0% | 453,2 k € | +9.6% | 413,6 k € | -2.4% | 424,0 k € | -26.4% | 576,3 k € | -13.8% | 668,5 k € | +36.7% | 489,0 k € | +71.8% | 284,6 k € | |
| Cash | 4,7 k € | -51.9% | 9,8 k € | +93.3% | 5,1 k € | -4.0% | 5,3 k € | +21.7% | 4,3 k € | +110.8% | 2,1 k € | -86.5% | 15,3 k € | +711.9% | 1,9 k € | +52.0% | 1,2 k € | -48.5% | 2,4 k € | -45.3% | 4,4 k € | -88.1% | 36,8 k € | +718.1% | 4,5 k € | +256.7% | 1,3 k € | -87.9% | 10,4 k € | +41.4% | 7,3 k € | -78.7% | 34,4 k € | |
| Debts | 702,4 k € | +38.4% | 507,4 k € | +27.4% | 398,2 k € | -0.1% | 398,8 k € | +44.8% | 275,3 k € | -7.9% | 299,1 k € | +18.0% | 253,5 k € | +39.5% | 181,7 k € | +62.7% | 111,7 k € | -57.7% | 264,1 k € | -16.3% | 315,6 k € | +14.2% | 276,5 k € | -70.1% | 926,3 k € | +24.2% | 746,1 k € | +43.9% | 518,5 k € | +42.6% | 363,6 k € | +62.6% | 223,6 k € | |
| Staff | — | — | — | 7,8 | 6,2 | 6,9 | 7 | 7 | 7 | 6,8 | 5,3 | 6,4 | 13,6 | 19,9 | 17,3 | 6,8 | 3,9 | |||||||||||||||||
Private company with limited liability · Namur · incorporated on 06/03/2008
Private company with limited liability loss-making in the latest fiscal year. Cash position declining (-51.9%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
creativeOne is a Private company with limited liability incorporated in 2008. Its main activity is: Wholesale of information and communication equipment. Its registered office is in Namur.
Key indicators
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Source: Belgian Official Gazette