| 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | |||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Gross margin | 83,8 k € | +5329.3% | 1,5 k € | +130.2% | -5,1 k € | +2.5% | -5,2 k € | +1.7% | -5,3 k € | -1423.7% | 402,7 € | -99.7% | 116,0 k € | +2336.0% | 4,8 k € | +1046.4% | -503,2 € | -106.0% | 8,3 k € | +67.5% | 5,0 k € | +37.9% | 3,6 k € | +177.7% | -4,6 k € | +83.4% | -28,1 k € | |
| EBITDA | 83,3 k € | +6169.6% | -1,4 k € | +86.8% | -10,4 k € | -48.4% | -7,0 k € | +9.9% | -7,8 k € | -220.0% | -2,4 k € | -102.1% | 113,3 k € | +5794.0% | 1,9 k € | +161.1% | -3,1 k € | -154.3% | 5,8 k € | +144.2% | 2,4 k € | +1.9% | 2,3 k € | +139.3% | -5,9 k € | +80.7% | -30,6 k € | |
| Operating profit | 81,1 k € | +542.9% | -18,3 k € | +33.0% | -27,3 k € | -14.1% | -23,9 k € | +3.1% | -24,7 k € | -27.6% | -19,4 k € | -119.9% | 97,3 k € | +870.1% | -12,6 k € | +28.6% | -17,7 k € | -99.1% | -8,9 k € | +29.8% | -12,7 k € | +0.3% | -12,7 k € | +7.9% | -13,8 k € | +73.1% | -51,4 k € | |
| Profit/loss | 55,7 k € | +273.0% | -32,2 k € | +25.9% | -43,5 k € | -3.1% | -42,1 k € | +2.8% | -43,3 k € | -11.1% | -39,0 k € | -151.0% | 76,5 k € | +308.0% | -36,8 k € | +8.8% | -40,3 k € | -26.0% | -32,0 k € | +22.3% | -41,2 k € | -26.8% | -32,5 k € | -12.2% | -29,0 k € | +60.6% | -73,5 k € | |
| Equity | 46,8 k € | +622.3% | -9,0 k € | -138.5% | 23,3 k € | -65.1% | 66,7 k € | -38.7% | 108,9 k € | -18.3% | 133,2 k € | -11.9% | 151,2 k € | +1091.1% | -15,3 k € | -170.9% | 21,5 k € | -65.2% | 61,8 k € | -34.1% | 93,8 k € | +368.2% | -35,0 k € | -1301.5% | -2,5 k € | -109.4% | 26,5 k € | |
| Total assets | 96,7 k € | -77.0% | 420,3 k € | -3.0% | 433,5 k € | -3.5% | 449,5 k € | -3.6% | 466,4 k € | -4.0% | 485,8 k € | +4.2% | 466,2 k € | +6.8% | 436,8 k € | -3.2% | 451,3 k € | -3.3% | 466,8 k € | -2.9% | 480,6 k € | -3.0% | 495,6 k € | +38.8% | 357,1 k € | -2.2% | 365,0 k € | |
| Cash | 1,2 € | — | — | — | 8,5 € | — | 346,2 € | — | — | 960,2 € | +2251.8% | 40,8 € | — | — | — | |||||||||||||
| Debts | 49,9 k € | -88.0% | 415,0 k € | +4.1% | 398,7 k € | +6.4% | 374,7 k € | +6.0% | 353,3 k € | +1.4% | 348,6 k € | +11.8% | 311,9 k € | -30.3% | 447,6 k € | +4.4% | 428,8 k € | +6.8% | 401,6 k € | +4.1% | 385,8 k € | -27.3% | 530,6 k € | +47.5% | 359,6 k € | +6.2% | 338,5 k € | |
Public limited company · Antwerpen · incorporated on 20/03/2008
Company — Opening of bankruptcy.
Public limited company profitable and well capitalised. Cash position declining (-86.3%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
Deurne Vastgoed is a Public limited company incorporated in 2008. Its registered office is in Antwerpen.
Key indicators
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Source: Belgian Official Gazette