IPM Group: what changed
Two fiscal years side by side, explained: what moved most in the balance sheet and the result, why the result rose or fell, and where the money went.
IPM Group
Largest movements
- Receivables within one year -€19.1m
down €19.1m (-58.4%), from €32.7m to €13.6m
of which Other amounts receivable: -€16.9m
- Financial fixed assets -€10.1m
down €10.1m (-49.9%), from €20.3m to €10.2m
of which Affiliated companies: -€9.7m
- Receivables after one year +€3.7m
up €3.7m (+903961.9%), from €413 to €3.7m
- Cash +€1.5m
up €1.5m (+37.8%), from €3.8m to €5.3m
mainly Receivables within one year (+€19.1m) and Investment in fixed assets (net) (+€9.1m)
- Intangible fixed assets -€1.2m
down €1.2m (-34.1%), from €3.5m to €2.3m
- Profit (loss) carried forward -€14.5m
down €14.5m (-87.7%), from €16.5m to €2.0m
- Other debts -€3.5m
down €3.5m (-41.2%), from €8.4m to €5.0m
- Debts after one year -€3.2m
down €3.2m (-96.6%), from €3.3m to €114,370
of which Other amounts payable: -€2.7m
- Short-term financial debts +€2.7m
up €2.7m (+47.5%), from €5.7m to €8.4m
of which Other loans: +€2.1m
- Contributions -€2.5m
down €2.5m (-87.3%), from €2.8m to €361,095
of which Capital: -€2.4m
- Financial charges +€12.2m
up €12.2m (+134.2%), from €9.1m to €21.3m
of which Non-recurring financial charges: +€12.3m
- Financial income +€7.1m
up €7.1m (+280.0%), from €2.5m to €9.6m
of which Non-recurring financial income: +€7.2m
- Turnover -€3.6m
down €3.6m (-6.9%), from €52.5m to €48.8m
- Goods and materials -€2.2m
down €2.2m (-19.4%), from €11.2m to €9.0m
of which Purchases: -€2.2m
- Other operating income -€1.1m
down €1.1m (-10.3%), from €10.9m to €9.8m
From the 2024 result to the 2025 result
Each bar is the change in one income-statement line, as its effect on the result: higher costs pull it down, higher income lifts it.
Cash bridge derived
Derived from the 2024 and 2025 balance sheets and the 2025 result: not a filed cash-flow statement. It shows where the money came from and went.
Every line side by side
| Line | Code | 2024 | 2025 | Change | % |
|---|---|---|---|---|---|
| Total assets | 20/58 | €61,393,341 | €35,621,203 | -€25.8m | -42.0% |
| Formation expenses | 20 | €0 | €0 | = | |
| Fixed assets | 21/28 | €24,317,650 | €12,581,363 | -€11.7m | -48.3% |
| Intangible fixed assets | 21 | €3,493,953 | €2,300,770 | -€1.2m | -34.1% |
| Tangible fixed assets | 22/27 | €524,695 | €105,221 | -€419,474 | -79.9% |
| Plant, machinery and equipment | 23 | €326,656 | €71,635 | -€255,021 | -78.1% |
| Furniture and vehicles | 24 | €25,603 | €33,586 | +€7,983 | +31.2% |
| Other tangible fixed assets | 26 | €8,814 | €0 | -€8,814 | -100.0% |
| Assets under construction and advance payments | 27 | €163,622 | €0 | -€163,622 | -100.0% |
| Financial fixed assets | 28 | €20,299,002 | €10,175,372 | -€10.1m | -49.9% |
| Affiliated companies | 280/1 | €19,174,762 | €9,487,523 | -€9.7m | -50.5% |
| Participating interests | 280 | €19,174,762 | €9,487,523 | -€9.7m | -50.5% |
| Amounts receivable | 281 | €0 | €0 | = | |
| Companies linked by participating interests | 282/3 | €432,374 | €432,374 | = | 0.0% |
| Participating interests | 282 | €432,374 | €432,374 | = | 0.0% |
| Other financial fixed assets | 284/8 | €691,866 | €255,474 | -€436,392 | -63.1% |
| Shares | 284 | €467,145 | €30,746 | -€436,399 | -93.4% |
| Amounts receivable and cash guarantees | 285/8 | €224,721 | €224,728 | +€7 | 0.0% |
| Current assets | 29/58 | €37,075,691 | €23,039,840 | -€14.0m | -37.9% |
| Amounts receivable after more than one year | 29 | €413 | €3,729,255 | +€3.7m | +903961.9% |
| Other amounts receivable | 291 | €413 | €3,729,255 | +€3.7m | +903961.9% |
| Stocks and contracts in progress | 3 | €139,257 | €60,564 | -€78,693 | -56.5% |
| Stocks | 30/36 | €139,257 | €60,564 | -€78,693 | -56.5% |
| Goods purchased for resale | 34 | €139,257 | €60,564 | -€78,693 | -56.5% |
| Amounts receivable within one year | 40/41 | €32,712,491 | €13,600,127 | -€19.1m | -58.4% |
| Trade receivables | 40 | €10,384,072 | €8,152,296 | -€2.2m | -21.5% |
| Other amounts receivable | 41 | €22,328,419 | €5,447,831 | -€16.9m | -75.6% |
| Current investments | 50/53 | €3,486 | €5,275 | +€1,789 | +51.3% |
| Other investments | 51/53 | €3,486 | €5,275 | +€1,789 | +51.3% |
| Cash at bank and in hand | 54/58 | €3,841,374 | €5,291,540 | +€1.5m | +37.8% |
| Deferred charges and accrued income | 490/1 | €378,671 | €353,078 | -€25,593 | -6.8% |
| Total equity and liabilities | 10/49 | €61,393,341 | €35,621,203 | -€25.8m | -42.0% |
| Equity | 10/15 | €22,549,036 | €3,132,217 | -€19.4m | -86.1% |
| Contributions | 10/11 | €2,845,611 | €361,095 | -€2.5m | -87.3% |
| Capital | 10 | €2,782,639 | €353,104 | -€2.4m | -87.3% |
| Issued capital | 100 | €2,782,639 | €353,104 | -€2.4m | -87.3% |
| Outside capital | 11 | €62,971 | €7,991 | -€54,981 | -87.3% |
| Share premium | 1100/10 | €62,971 | €7,991 | -€54,981 | -87.3% |
| Revaluation surpluses | 12 | €380,500 | €380,500 | = | 0.0% |
| Reserves | 13 | €2,826,357 | €358,652 | -€2.5m | -87.3% |
| Non-distributable reserves | 130/1 | €278,264 | €278,264 | = | 0.0% |
| Legal reserve | 130 | €278,264 | €278,264 | = | 0.0% |
| Distributable reserves | 133 | €2,548,093 | €80,388 | -€2.5m | -96.8% |
| Profit (loss) carried forward | 14 | €16,496,568 | €2,031,970 | -€14.5m | -87.7% |
| Provisions and deferred taxes | 16 | €117,503 | €0 | -€117,503 | -100.0% |
| Provisions for liabilities and charges | 160/5 | €117,503 | €0 | -€117,503 | -100.0% |
| Environmental obligations | 163 | - | €0 | = | |
| Other liabilities and charges | 164/5 | €117,503 | €0 | -€117,503 | -100.0% |
| Amounts payable | 17/49 | €38,726,801 | €32,488,986 | -€6.2m | -16.1% |
| Amounts payable after more than one year | 17 | €3,333,825 | €114,370 | -€3.2m | -96.6% |
| Financial debts | 170/4 | €500,000 | €0 | -€500,000 | -100.0% |
| Subordinated loans | 170 | €500,000 | €0 | -€500,000 | -100.0% |
| Credit institutions | 173 | €0 | - | = | |
| Other amounts payable | 178/9 | €2,833,825 | €114,370 | -€2.7m | -96.0% |
| Amounts payable within one year | 42/48 | €27,478,931 | €24,757,758 | -€2.7m | -9.9% |
| Current portion of amounts payable after more than one year | 42 | €64,337 | €92,910 | +€28,573 | +44.4% |
| Financial debts | 43 | €5,666,117 | €8,358,512 | +€2.7m | +47.5% |
| Credit institutions | 430/8 | €4,706,453 | €5,281,873 | +€575,420 | +12.2% |
| Other loans | 439 | €959,665 | €3,076,639 | +€2.1m | +220.6% |
| Trade debts | 44 | €10,698,122 | €8,729,248 | -€2.0m | -18.4% |
| Suppliers | 440/4 | €10,698,122 | €8,729,248 | -€2.0m | -18.4% |
| Taxes, remuneration and social security | 45 | €2,600,838 | €2,609,012 | +€8,174 | +0.3% |
| Taxes | 450/3 | €501,061 | €495,346 | -€5,715 | -1.1% |
| Remuneration and social security | 454/9 | €2,099,777 | €2,113,666 | +€13,889 | +0.7% |
| Other amounts payable | 47/48 | €8,449,516 | €4,968,075 | -€3.5m | -41.2% |
| Accrued charges and deferred income | 492/3 | €7,914,046 | €7,616,858 | -€297,187 | -3.8% |
| Operating income | 70/76A | €70,486,094 | €67,935,310 | -€2.6m | -3.6% |
| Turnover | 70 | €52,459,142 | €48,816,543 | -€3.6m | -6.9% |
| Own construction capitalised | 72 | €299,537 | €296,243 | -€3,294 | -1.1% |
| Other operating income | 74 | €10,947,532 | €9,822,524 | -€1.1m | -10.3% |
| Non-recurring operating income | 76A | €6,779,883 | €9,000,000 | +€2.2m | +32.7% |
| Operating charges | 60/66A | €66,587,083 | €60,476,218 | -€6.1m | -9.2% |
| Goods for resale, raw materials and consumables | 60 | €11,193,999 | €9,023,335 | -€2.2m | -19.4% |
| Purchases | 600/8 | €11,191,641 | €8,944,642 | -€2.2m | -20.1% |
| Change in stocks: decrease (increase) | 609 | €2,359 | €78,693 | +€76,334 | +3236.5% |
| Services and other goods | 61 | €35,950,364 | €34,881,693 | -€1.1m | -3.0% |
| Remuneration, social security and pensions | 62 | €12,321,952 | €13,125,838 | +€803,886 | +6.5% |
| Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets | 630 | €2,564,110 | €2,608,788 | +€44,678 | +1.7% |
| Write-downs on stocks, contracts in progress and trade receivables: additions (reversals) | 631/4 | -€68,315 | -€72,182 | -€3,867 | -5.7% |
| Provisions for liabilities and charges: additions (uses and reversals) | 635/8 | €30,000 | -€42,503 | -€72,503 | |
| Other operating charges | 640/8 | €408,253 | €371,957 | -€36,296 | -8.9% |
| Non-recurring operating charges | 66A | €4,186,721 | €579,293 | -€3.6m | -86.2% |
| Operating profit (loss) | 9901 | €3,899,011 | €7,459,092 | +€3.6m | +91.3% |
| Financial income | 75/76B | €2,524,483 | €9,592,110 | +€7.1m | +280.0% |
| Recurring financial income | 75 | €772,231 | €683,111 | -€89,119 | -11.5% |
| Income from financial fixed assets | 750 | €18 | - | -€18 | |
| Income from current assets | 751 | €770,019 | €664,865 | -€105,154 | -13.7% |
| Other financial income | 752/9 | €2,194 | €18,247 | +€16,053 | +731.7% |
| Non-recurring financial income | 76B | €1,752,252 | €8,908,999 | +€7.2m | +408.4% |
| Financial charges | 65/66B | €9,107,605 | €21,334,081 | +€12.2m | +134.2% |
| Recurring financial charges | 65 | €783,701 | €726,691 | -€57,010 | -7.3% |
| Debt charges | 650 | €585,283 | €564,843 | -€20,441 | -3.5% |
| Other financial charges | 652/9 | €198,418 | €161,848 | -€36,569 | -18.4% |
| Non-recurring financial charges | 66B | €8,323,904 | €20,607,390 | +€12.3m | +147.6% |
| Profit (loss) for the period before taxes | 9903 | -€2,684,111 | -€4,282,879 | -€1.6m | -59.6% |
| Income taxes | 67/77 | €49,394 | €147,234 | +€97,840 | +198.1% |
| Taxes | 670/3 | €56,694 | €195,849 | +€139,155 | +245.4% |
| Tax adjustments and reversals of tax provisions | 77 | €7,300 | €48,615 | +€41,315 | +565.9% |
| Profit (loss) for the period | 9904 | -€2,733,505 | -€4,430,112 | -€1.7m | -62.1% |
| Profit (loss) for the period to be appropriated | 9905 | -€2,733,505 | -€4,430,112 | -€1.7m | -62.1% |
Source: filed annual accounts (NBB), fiscal years ended 31 December 2024 and 31 December 2025. Colour: green is a favourable move for that line, red an unfavourable one. Prepared on 30 September 2026 via checked.be.