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KARYS GROUP

Active
Private limited company·Groothandel in parfumerieën en cosmetica· 3 yrs active
Noodlottige Rotsstraat 28 ·1200 Sint-Lambrechts-Woluwe, Belgium
BE 0794.651.021
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Turnover
EBIT margin
Net result€11k
Working capital€10k
CSV export

Annual accounts & ratios

Source: NBB · 2025
Annual accounts filed on 01-06-2026 with the NBB · fiscal year 2025 · micro
€-10k€-5k€0€5k€10k€15kOperating result 2023: €701€701Net result 2023: €552€552Operating result 2024: €-5k€-5kNet result 2024: €-5k€-5kOperating result 2025: €13k€13kNet result 2025: €11k€11k202320242025
Operating resultNet result
Trajectory (indicative)
Projection over 3 fiscal years from the filed annual accounts — not a forecast, the extended trend.
growing Equity: growth of ~53.6%/year over 3 fiscal years — indicative, assuming unchanged policy.
€0€10k€20k2026: €14k (€14k – €15k)2027: €17k (€17k – €18k)2028: €20k (€20k – €21k)2023: €6k2024: €672025: €12k202320242025202620272028
Solid line = filed figures · dashed = extended trend · area = indicative range.
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).

Sector comparison
Fiscal year 2025 · NACE 46 — Wholesale trade · compared within the same schema type (micro schema)
Metric This company Sector median Position in the sector
Solvency 31.2% 35.5%
better than 47% of 132 sector peers
Net result €11k €10k
better than 52% of 132 sector peers
Equity €12k €36k
better than 35% of 132 sector peers
Gross operating margin €16k €27k
better than 40% of 132 sector peers
Total assets €37k €121k
better than 17% of 132 sector peers
Median and position computed from NBB annual accounts filed by sector peers; own figures from the latest filed accounts.
EBITDA
€14k
-22% vs sector
Net profit
€11k
+25% vs sector
Cash flow
€12k
-19% vs sector
Total assets
€37k
-8.6% -95% vs sector
Equity
€12k
+17091.8% -78% vs sector
Working capital
€10k
+165% vs sector
Income taxes
€2k
-75% vs sector
Debt
€25k
-37.0% -97% vs sector
Debt ≤ 1y
€25k
-37.0% -94% vs sector
Current ratio
1.40
+53.9% +43% vs sector
Quick ratio
0.32
+39.3% -29% vs sector
Solvency
31.2%
+18713.9% +419% vs sector
Debt / equity
2.20
-99.6% +429% vs sector
ROE
99.4%
+143% vs sector
ROA
31.0%
+1160% vs sector
Interest coverage
72.43
+446% vs sector
Figures by fiscal year
Fiscal year2025
Revenue
EBITDA€14k
Net profit€11k
Cash flow€12k
Staff costs
Income taxes€2k
Dividends
Total assets€37k
Equity€12k
Debt€25k
of which ≤ 1y€25k
of which > 1y
Working capital€10k
Employees (FTE)
Ratios (computed)
2025
Current ratio1.40
Quick ratio0.32
Working capital ratio27.7%
Solvency31.2%
Debt / equity2.20
Long-term debt ratio
Interest coverage72.43
Gross margin
Net margin
ROA31.0%
ROE99.4%
EBITDA margin
Days sales outstanding
Days payable outstanding
Inventory turnover
Days inventory (DSI)
Balance-sheet composition 2025
Full annual accounts
Filed balance sheet and income statement, exactly as deposited with the NBB.
Line item Code2025
Balance sheet — Assets
TOTAL ASSETS 20/58€37k
Fixed assets 21/28€1k
Intangible fixed assets 21€1k
Tangible fixed assets 22/27€0
Current assets 29/58€36k
Stocks & contracts in progress 3€27k
Amounts receivable within one year 40/41€8k
Cash & bank 54/58€71
Balance sheet — Equity & liabilities
TOTAL EQUITY & LIABILITIES 10/49€37k
Equity 10/15€12k
Contributions / capital 10/11€5k
Accumulated profits (losses) 14€7k
Amounts payable 17/49€25k
Amounts payable within one year 42/48€25k
Trade debts payable within one year 44€7k
Income statement
Gross operating margin 9900€16k
Operating result 9901€13k
Financial income 75€0
Financial charges 65€191
Result before taxes 9903€13k
Income taxes 67/77€2k
Net result for the period 9904€11k
Result to be appropriated 9905€11k
You're seeing the latest fiscal year only. Unlock 2 prior years (figures + ratios) with a paid plan. See plans →
Ratios computed by Checked.

Health barometer

FY 2025 · computed
76 / 100 Excellent
050100

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Computed by Checked from NBB filings and Belgian State Gazette signals. Indicative — not credit advice.