CAPENTI
CAPENTI is een financiële instelling; het faillissementsmodel is getraind op handels- en productievennootschappen en is hier niet van toepassing. De jaarrekening over 2024 toont een eigen vermogen van €21,04M en een nettoresultaat van €-516k. Het eigen vermogen groeit met ~23,8% per jaar over de neergelegde boekjaren. De solvabiliteit is beter dan 54% van 665 sectorgenoten (boekjaar 2024). Het bedrijf is actief sinds 2021 en het Belgisch Staatsblad bevat geen insolventie- of waarschuwingssignalen.
| Eigen vermogen | €21,04M |
| Netto resultaat | €-516k |
| Beter dan sector | 54% |
| Actief | 4 jaar |
Kwetsbaar profiel, let vooral op gezondheid.
Dit is een financiële instelling (bank, verzekeraar of financiële holding). Ons faillissementsmodel is getraind op gewone handels- en productievennootschappen; een bankbalans valt buiten dat bereik. We tonen hier daarom geen faillissementskans in plaats van een misleidend cijfer.
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 | 48,6% | 44,5% | |
| Nettoresultaat | €-516k | €52k | |
| Eigen vermogen | €21,04M | €1,28M | |
| Totaal activa | €43,28M | €5,51M |
| Boekjaar | 2024 |
|---|---|
| Omzet | n.v.t. |
| EBITDA | n.v.t. |
| Nettoresultaat | €-516k |
| Cashflow | n.v.t. |
| Personeelskosten | - |
| Belastingen op het resultaat | - |
| Dividenden | - |
| Totaal activa | €43,28M |
| Eigen vermogen | €21,04M |
| Schulden | €22,24M |
| waarvan ≤ 1 jaar | €4,50M |
| waarvan > 1 jaar | €17,63M |
| Werkkapitaal | n.v.t. |
| Werknemers (VTE) | - |
| 2024 | |
|---|---|
| Current ratio | n.v.t. |
| Quick ratio | n.v.t. |
| Werkkapitaalratio | n.v.t. |
| Solvabiliteit | 48,6% |
| Debt / equity | n.v.t. |
| Langetermijnschuldgraad | n.v.t. |
| Interest coverage | n.v.t. |
| Bruto rentabiliteit | n.v.t. |
| Netto rentabiliteit | n.v.t. |
| ROA | -1,2% |
| ROE | -2,5% |
| EBITDA-marge | n.v.t. |
| Klantenkrediet (DSO) | n.v.t. |
| Leverancierskrediet (DPO) | n.v.t. |
| Voorraadrotatie | n.v.t. |
| Voorraaddagen (DSI) | n.v.t. |
| Post | Code | 2024 |
|---|---|---|
| Balans, Activa | ||
| TOTAAL ACTIVA | 20/58 | €43,28M |
| Vaste activa | 21/28 | €42,49M |
| Financiële vaste activa | 28 | €42,49M |
| Vlottende activa | 29/58 | €789k |
| Voorraden en bestellingen in uitvoering | 3 | €0 |
| Vorderingen op ten hoogste één jaar | 40/41 | €696k |
| Liquide middelen | 54/58 | €71k |
| Balans, Passiva | ||
| TOTAAL PASSIVA | 10/49 | €43,28M |
| Eigen vermogen | 10/15 | €21,04M |
| Inbreng / kapitaal | 10/11 | €14,61M |
| Reserves | 13 | €350k |
| Overgedragen winst (verlies) | 14 | €6,08M |
| Schulden | 17/49 | €22,24M |
| Schulden op meer dan één jaar | 17 | €17,63M |
| Schulden op ten hoogste één jaar | 42/48 | €4,50M |
| Handelsschulden op ten hoogste één jaar | 44 | €96k |
| Resultatenrekening | ||
| Omzet | 70 | €1,51M |
| Bedrijfsresultaat | 9901 | €82k |
| Financiële opbrengsten | 75 | €35k |
| Financiële kosten | 65 | €633k |
| Resultaat vóór belasting | 9903 | €-516k |
| Resultaat van het boekjaar | 9904 | €-516k |
| Te bestemmen resultaat | 9905 | €-516k |
| NACE primair | Financiële diensten(64210) |
| Rechtsvorm | NV(014) |
| Oprichtingsdatum | 13-10-2021 |
| Status | Actief |
| Postcode | 9000 |
Percelen gekoppeld aan dit bedrijf via zijn adressen in de KBO (zetel, vestigingen, bijkantoren), gekruist met het kadastraal percelenplan. Dit toont waar het bedrijf actief is, geen eigendomsregister.
| Perceel (capakey) | Regio | Oppervlakte | Gebouwen | Hoogte / verd. |
|---|---|---|---|---|
| 44805E0153/00B000 | Vlaanderen | 364 m² | 1 · 364 m² | 21,7 m · 2 verd. |
Eén tijdlijn van alles wat er met dit bedrijf is gebeurd, publicaties, insolventie- en levensloopgebeurtenissen, administratieve wijzigingen en neergelegde jaarrekeningen.
13-05-2025 Herstructurering van de aandelenklassen
Technische details
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}27-12-2024 Kapitaalverhoging van €1.274.992 tot €13.654.992
- €12.380.000 → €13.654.992
Technische details
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}26-11-2024 Publicatie in het Belgisch Staatsblad, Kleine wijziging
Technische details
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}31-03-2023 Kapitaalverhoging van €3.500.000 tot €12.380.000
- €8.880.000 → €12.380.000
- Inbreng in geld · Apport en numéraire
Technische details
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}09-11-2021 Kapitaalverhoging van €8.818.500 tot €8.880.000
- €61.500 → €8.880.000
- Inbreng in geld · Apport en numéraire
Technische details
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]
}Genereer een gestructureerde, feitelijke nota op basis van alle signalen in dit dossier: risico, financiële gezondheid, eigendomsstructuur, mandaten en sectorvergelijking.
| Officiële naamNL | CAPENTI |