COSMIXX
The computed 12-month bankruptcy probability of COSMIXX is 1.8% (moderate). The 2025 annual accounts show equity of €337k and a net result of €164k. Equity is growing by ~30.7% per year across the filed fiscal years. Its solvency ranks better than 44% of 7448 sector peers (fiscal year 2025). The company has been active since 2020 and the Belgian State Gazette contains no insolvency or warning signals.
| Equity | €337k |
| Net result | €164k |
| Staff (FTE) | 4.9 |
| Better than sector | 44% |
Exceptional profile, strong across almost every axis.
All 5 axes are computed from data Checked has read.
How do we compute this?
The trend is a robust median of all pairwise slopes between fiscal years (Theil-Sen), so a single odd year cannot hijack the line. For strictly positive series we also fit a log variant (compound annual growth) and keep whichever describes the figures best.
The area around the projection is 1.8 × the median absolute deviation from the trend, widening each year ahead (×1 / ×1.6 / ×2.2), with a minimum of 8% of the last value. It is an indicative range, not a statistical confidence interval.
A series whose deviations exceed 35% of its level is too volatile: we then deliberately show no projection. Every projection assumes unchanged policy and is blind to non-public information (order book, contracts, funding rounds).
| Metric | This company | Sector median | Position in the sector |
|---|---|---|---|
| Solvency | 39.3% | 44.0% | |
| Net result | €164k | €30k | |
| Equity | €337k | €276k | |
| Gross operating margin | €643k | €275k | |
| Staff costs | €326k | €244k |
Figures by fiscal year and ratios
| Fiscal year | 2025 Δ | 2024 Δ | 2023 Δ | 2022 Δ | 2021 Δ |
|---|---|---|---|---|---|
| Deposit | abbreviated schema | abbreviated schema | abbreviated schema | micro schema | micro schema |
| Revenue | - | - | - | - | - |
| EBITDA | -31.2% | +66.4% | +55.1% | +159.7% | - |
| Net profit | -40.3% | +80.8% | +37.6% | +158.1% | - |
| Cash flow | -28.6% | +69.0% | +53.2% | +154.6% | - |
| Staff costs | -2.2% | +11.3% | +203.2% | -15.1% | - |
| Income taxes | -41.0% | +98.3% | +57.7% | +245.5% | - |
| Dividends | +220.0% | - | -100.0% | +100.0% | - |
| Total assets | +6.7% | +20.9% | +46.5% | +76.3% | - |
| Equity | -31.7% | +54.5% | +90.3% | +91.5% | - |
| Debt | +67.8% | -10.1% | +20.7% | +68.4% | - |
| of which ≤ 1y | +109.3% | +21.6% | -0.5% | +147.0% | - |
| of which > 1y | -25.6% | -43.1% | +56.4% | +10.3% | - |
| Working capital | -65.8% | +51.7% | +45.3% | +17.1% | - |
| Employees (FTE) | -10.9% | +19.6% | +142.1% | -9.5% | - |
| 2025 | 2024 | 2023 | 2022 | 2021 | |
|---|---|---|---|---|---|
| Current ratio | 1.27 | 2.63 | 2.30 | 1.89 | 2.88 |
| Quick ratio | 1.19 | 2.48 | 1.95 | 1.62 | 2.53 |
| Working capital ratio | 13.9% | 43.2% | 34.4% | 34.7% | 52.2% |
| Solvency | 39.3% | 61.4% | 48.1% | 37.0% | 34.1% |
| Debt / equity | 1.54 | 0.63 | 1.08 | 1.70 | 1.94 |
| Long-term debt ratio | 0.21 | 0.19 | 0.53 | 0.64 | 1.12 |
| Interest coverage | 31.19 | 35.85 | 15.12 | 24.57 | 11.69 |
| Gross margin | - | - | - | 29.8% | - |
| Net margin | - | - | - | 12.2% | - |
| ROA | 19.1% | 34.1% | 22.8% | 24.3% | 16.6% |
| ROE | 48.5% | 55.5% | 47.5% | 65.6% | 48.7% |
| EBITDA margin | - | - | - | 19.0% | - |
| Days sales outstanding | - | - | - | 40d | - |
| Days payable outstanding | - | - | - | 30d | - |
| Inventory turnover | - | - | - | 13.18 | - |
| Days inventory (DSI) | - | - | - | 28d | - |
Full annual accounts (27 line items)
| Line item | Code | 2025 | 2024 | 2023 | 2022 | 2021 |
|---|---|---|---|---|---|---|
| Balance sheet, Assets | ||||||
| TOTAL ASSETS | 20/58 | €858k | €804k | €665k | €454k | €258k |
| Fixed assets | 21/28 | €292k | €243k | €260k | €120k | €52k |
| Intangible fixed assets | 21 | €4k | - | - | - | - |
| Tangible fixed assets | 22/27 | €279k | €234k | €251k | €116k | €48k |
| Financial fixed assets | 28 | €9k | €9k | €9k | €4k | €4k |
| Current assets | 29/58 | €566k | €561k | €405k | €334k | €206k |
| Stocks & contracts in progress | 3 | €33k | €31k | €62k | €48k | €25k |
| Amounts receivable within one year | 40/41 | €439k | €228k | €132k | €120k | €112k |
| Cash & bank | 54/58 | €72k | €281k | €198k | €158k | €58k |
| Balance sheet, Equity & liabilities | ||||||
| TOTAL EQUITY & LIABILITIES | 10/49 | €858k | €804k | €665k | €454k | €258k |
| Equity | 10/15 | €337k | €494k | €320k | €168k | €88k |
| Contributions / capital | 10/11 | €60k | €60k | €60k | €60k | €60k |
| Reserves | 13 | €76k | €76k | €76k | - | - |
| Accumulated profits (losses) | 14 | €202k | €358k | €184k | €108k | €28k |
| Amounts payable | 17/49 | €521k | €310k | €345k | €286k | €170k |
| Amounts payable after one year | 17 | €72k | €96k | €169k | €108k | €98k |
| Amounts payable within one year | 42/48 | €447k | €214k | €176k | €177k | €72k |
| Trade debts payable within one year | 44 | €29k | €23k | €27k | €52k | €11k |
| Income statement | ||||||
| Turnover | 70 | - | - | - | €905k | - |
| Gross operating margin | 9900 | €643k | €783k | €578k | €272k | €184k |
| Operating result | 9901 | €222k | €372k | €214k | €149k | €56k |
| Financial income | 75 | €4k | €3k | €66 | €161 | €93 |
| Financial charges | 65 | €10k | €12k | €18k | €7k | €6k |
| Result before taxes | 9903 | €216k | €362k | €196k | €138k | €51k |
| Income taxes | 67/77 | €52k | €88k | €44k | €28k | €8k |
| Net result for the period | 9904 | €164k | €274k | €152k | €110k | €43k |
| Result to be appropriated | 9905 | €164k | €274k | €76k | €110k | €43k |
| NACE primary | Other specialised construction activities(43990) |
| Legal form | Private limited company(610) |
| Incorporation | 05-11-2020 |
| Status | Active |
| Postal code | 9880 |
| Parcel (capakey) | Region | Area | Buildings | Height / fl. |
|---|---|---|---|---|
| 44035B0082/00V000 | Flanders | 3,287 m² | 1 · 1,885 m² | - |
We know of 1 Belgian State Gazette act for this company. It has not been read yet: what they contain is neither established nor disproved here.
| Legal nameNL | COSMIXX |