BOWLING 67
BOWLING 67 is actief sinds 2002 en het Belgisch Staatsblad bevat geen insolventie- of waarschuwingssignalen. De jaarrekening over 2025 toont een eigen vermogen van €1,01M en een nettoresultaat van €-397k. Het eigen vermogen krimpt met ~3,6% per jaar over de neergelegde boekjaren. De solvabiliteit is beter dan 27% van 403 sectorgenoten (boekjaar 2025). De berekende faillissementskans over 12 maanden is 0,2% (zeer laag).
| Eigen vermogen | €1,01M |
| Netto resultaat | €-397k |
| Werknemers (VTE) | 5,5 |
| Beter dan sector | 27% |
Kwetsbaar profiel, let vooral op solvabiliteit.
Alle 5 assen zijn berekend uit gegevens die Checked heeft ingelezen.
Hoe berekenen we dit?
De trend is een robuuste mediaan van alle paarsgewijze hellingen tussen de boekjaren (Theil-Sen), zodat één afwijkend jaar de lijn niet kan kapen. Voor strikt positieve reeksen rekenen we ook een loggroei-variant (samengestelde jaargroei) en kiezen we de variant die de cijfers het best beschrijft.
De zone rond de projectie is 1,8 × de mediane absolute afwijking van de trend, en verbreedt per jaar vooruit (×1 / ×1,6 / ×2,2), met een minimum van 8% van de laatste waarde. Dit is een indicatieve marge, géén statistisch betrouwbaarheidsinterval.
Een reeks waarvan de afwijkingen meer dan 35% van het niveau bedragen, is te volatiel: dan tonen we bewust géén projectie. Elke projectie veronderstelt ongewijzigd beleid en kent geen niet-publieke informatie (orderboek, contracten, financieringsrondes).
| Kengetal | Dit bedrijf | Sectormediaan | Positie in de sector |
|---|---|---|---|
| Solvabiliteit | 12,5% | 32,2% | |
| Nettoresultaat | €-397k | €16k | |
| Eigen vermogen | €1,01M | €531k | |
| Personeelskosten | €332k | €573k | |
| Werknemers (VTE) | 5,5 | 10,3 |
Cijfers per boekjaar en ratio's
| Boekjaar | 2025 | 2024 | 2023 | 2022 |
|---|---|---|---|---|
| Neerlegging | volledig schema | volledig schema | volledig schema | volledig schema |
| Omzet | €2,20M | €2,01M | €1,94M | €1,78M |
| EBITDA | €236k | €435k | €441k | €445k |
| Nettoresultaat | €-397k | €-7k | €140k | €213k |
| Cashflow | €36k | €306k | €355k | €392k |
| Personeelskosten | €332k | €323k | €265k | €334k |
| Belastingen op het resultaat | €112 | €2k | €49k | €36k |
| Dividenden | - | - | - | - |
| Totaal activa | €8,02M | €5,05M | €4,89M | €2,09M |
| Eigen vermogen | €1,01M | €1,40M | €1,41M | €1,27M |
| Schulden | €7,01M | €3,64M | €3,48M | €820k |
| waarvan ≤ 1 jaar | €2,76M | €1,13M | €813k | €420k |
| waarvan > 1 jaar | €4,25M | €2,51M | €2,64M | €365k |
| Werkkapitaal | €-2,44M | €-732k | €-458k | €14k |
| Werknemers (VTE) | 5,5 | 6,0 | 5,4 | 7,7 |
| 2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
| Current ratio | 0,12 | 0,35 | 0,44 | 1,03 |
| Quick ratio | 0,10 | 0,33 | 0,40 | 0,99 |
| Werkkapitaalratio | -30,4% | -14,5% | -9,4% | 0,7% |
| Solvabiliteit | 12,5% | 27,8% | 28,9% | 60,8% |
| Debt / equity | 6,97 | 2,60 | 2,47 | 0,65 |
| Langetermijnschuldgraad | 4,22 | 1,79 | 1,88 | 0,29 |
| Interest coverage | 1,17 | 3,42 | 11,75 | 25,30 |
| Bruto rentabiliteit | 76,2% | 76,4% | 76,8% | 75,6% |
| Netto rentabiliteit | -18,0% | -0,4% | 7,2% | 11,9% |
| ROA | -4,9% | -0,1% | 2,9% | 10,2% |
| ROE | -39,5% | -0,5% | 9,9% | 16,7% |
| EBITDA-marge | 10,8% | 21,7% | 22,8% | 25,0% |
| Klantenkrediet (DSO) | 11d | 6d | 7d | 7d |
| Leverancierskrediet (DPO) | 148d | 106d | 198d | 177d |
| Voorraadrotatie | 14,95 | 17,84 | 17,31 | 21,17 |
| Voorraaddagen (DSI) | 24d | 20d | 21d | 17d |
Volledige jaarrekening (26 posten)
| Post | Code | 2025 | 2024 | 2023 | 2022 |
|---|---|---|---|---|---|
| Balans, Activa | |||||
| TOTAAL ACTIVA | 20/58 | €8,02M | €5,05M | €4,89M | €2,09M |
| Vaste activa | 21/28 | €7,70M | €4,65M | €4,53M | €1,66M |
| Materiële vaste activa | 22/27 | €7,70M | €4,65M | €4,53M | €1,66M |
| Financiële vaste activa | 28 | €300 | €300 | - | - |
| Vlottende activa | 29/58 | €322k | €398k | €355k | €435k |
| Voorraden en bestellingen in uitvoering | 3 | €35k | €27k | €26k | €21k |
| Vorderingen op ten hoogste één jaar | 40/41 | €96k | €56k | €66k | €36k |
| Geldbeleggingen | 50/53 | €708 | €680 | €678 | €678 |
| Liquide middelen | 54/58 | €189k | €315k | €262k | €359k |
| Balans, Passiva | |||||
| TOTAAL PASSIVA | 10/49 | €8,02M | €5,05M | €4,89M | €2,09M |
| Eigen vermogen | 10/15 | €1,01M | €1,40M | €1,41M | €1,27M |
| Inbreng / kapitaal | 10/11 | €560k | €560k | €560k | €560k |
| Reserves | 13 | €457k | €457k | €457k | €450k |
| Overgedragen winst (verlies) | 14 | €-12k | €385k | €392k | €259k |
| Schulden | 17/49 | €7,01M | €3,64M | €3,48M | €820k |
| Schulden op meer dan één jaar | 17 | €4,25M | €2,51M | €2,64M | €365k |
| Schulden op ten hoogste één jaar | 42/48 | €2,76M | €1,13M | €813k | €420k |
| Handelsschulden op ten hoogste één jaar | 44 | €213k | €137k | €244k | €210k |
| Resultatenrekening | |||||
| Omzet | 70 | €2,20M | €2,01M | €1,94M | €1,78M |
| Bedrijfsresultaat | 9901 | €-196k | €122k | €226k | €266k |
| Financiële opbrengsten | 75 | €728 | €49 | €131 | €152 |
| Financiële kosten | 65 | €201k | €127k | €38k | €18k |
| Resultaat vóór belasting | 9903 | €-397k | €-5k | €189k | €248k |
| Belastingen op het resultaat | 67/77 | €112 | €2k | €49k | €36k |
| Resultaat van het boekjaar | 9904 | €-397k | €-7k | €140k | €213k |
| Te bestemmen resultaat | 9905 | €-397k | €-7k | €140k | €213k |
Voormalige bestuurders (1)
-
MAC MANAGEMENT S.R.L.RechtspersoonBestuurderStaatsblad-akte 26108401 (26-08-2026)Voormalig- → 26-03-2026
| NACE primair | Exploitatie van recreatiedomeinen(93293) |
| Rechtsvorm | NV(014) |
| Oprichtingsdatum | 30-12-2002 |
| Status | Actief |
| Postcode | 4650 |
| Perceel (capakey) | Regio | Oppervlakte | Gebouwen | Hoogte / verd. |
|---|---|---|---|---|
| 63048D0246/00T006 | Wallonië | 1,4 ha | - | - |
| 63014A0644/00C000 | Wallonië | 1,4 ha | 1 · 8.952 m² | 15,7 m · 2 verd. |
| 63048G0057/00F000 | Wallonië | 2.380 m² | 1 · 1.429 m² | 8,5 m · 2 verd. |
26-08
Staatsblad-akte
Algemene vergadering · Ontslag bestuurderAlgemene vergadering · Ontslag bestuurder · Kwijting bestuurder7 vaststellingen ▸
- Algemene vergadering, 2026-03-26
- Ontslag bestuurder, S.R.L. MAC MANAGEMENT (administrateur)
- Kwijting bestuurder, S.R.L. MAC MANAGEMENT (administrateur)
- Samenstelling bestuur, administrateur, 2026-03-26
- Samenstelling bestuur, administrateur, 2026-03-26
- Vaste vertegenwoordiger, Victor Tomas BOSQUIN
- Vaste vertegenwoordiger, Marc VAN DYCK
Van de 14 Staatsblad-aktes die wij van dit bedrijf kennen, is er 1 gelezen. De 13 andere zijn nog niet gelezen: wat daarin staat, is hier niet vastgesteld en ook niet weerlegd.
26-08-2026 Act object · General meeting · Officer resignation · Officer discharge
- Act object: Démission d'un administrateur · BOWLING 67
- Publication: 2026-08-26 · BOWLING 67
- Filing: 2026-08-13 · BOWLING 67
- General meeting: 2026-03-26 · BOWLING 67
- Officer resignation: date: 2026-03-26, role: administrateur · S.R.L. MAC MANAGEMENT
- Officer discharge: role: administrateur · S.R.L. MAC MANAGEMENT
- Board composition: role: administrateur, as_of: 2026-03-26 · SOFABO S.A.
- Board composition: role: administrateur, as_of: 2026-03-26 · ARWEM S.A.
- Permanent representative · Victor Tomas BOSQUIN
- Permanent representative · Marc VAN DYCK
Technische details
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}12-12-2023 2 ontslagnemend
- Marc MEESEN, Directeur
- Pascale SMITS, Directeur
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- Christian Brandt, Directeur
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}| Officiële naamFR | BOWLING 67 |