Thuis
La probabilité de faillite calculée de Thuis sur 12 mois est de < 0,1% (très faible). Les comptes annuels de 2024 montrent des capitaux propres de €4,00M et un résultat net de €8k. Les capitaux propres restent stables sur les exercices déposés (±2 % par an). La solvabilité se classe au-dessus de 70 % des 38 entreprises du même secteur (exercice 2024). L'entreprise est active depuis 1979 et le Moniteur belge ne contient aucun signal d'insolvabilité ou d'avertissement.
| Capitaux propres | €4,00M |
| Résultat net | €8k |
| Effectif (ETP) | 54,1 |
| Mieux que le secteur | 70% |
Profil solide, stabilité en tête.
Estimation statistique fondée sur des sources publiques, pas un conseil de crédit ni une constatation. Comment calculons-nous cela ?
Le détail complet du score, son historique par exercice et la limite de crédit indicative se débloquent avec Plus.
Voir les plans →Comment calculons-nous cela ?
La tendance est une médiane robuste de toutes les pentes par paires d'exercices (Theil-Sen), de sorte qu'une seule année atypique ne peut pas détourner la ligne. Pour les séries strictement positives, nous calculons aussi une variante log (croissance annuelle composée) et retenons celle qui décrit le mieux les chiffres.
La zone autour de la projection vaut 1,8 × l'écart absolu médian par rapport à la tendance et s'élargit chaque année (×1 / ×1,6 / ×2,2), avec un minimum de 8 % de la dernière valeur. C'est une marge indicative, pas un intervalle de confiance statistique.
Une série dont les écarts dépassent 35 % du niveau est trop volatile : nous ne montrons alors délibérément aucune projection. Toute projection suppose une politique inchangée et ignore les informations non publiques (carnet de commandes, contrats, levées de fonds).
| Indicateur | Cette entreprise | Médiane du secteur | Position dans le secteur |
|---|---|---|---|
| Solvabilité | 65,2% | 52,0% | |
| Résultat net | €8k | €70k | |
| Capitaux propres | €4,00M | €1,53M | |
| Frais de personnel | €3,85M | €3,76M | |
| Employés (ETP) | 54,1 | 50,9 |
| Exercice | 2024 |
|---|---|
| Chiffre d'affaires | €982k |
| EBITDA | €342k |
| Résultat net | €8k |
| Cash-flow | €312k |
| Frais de personnel | €3,85M |
| Impôts sur le résultat | - |
| Dividendes | - |
| Total actif | €6,14M |
| Capitaux propres | €4,00M |
| Dettes | €1,83M |
| dont ≤ 1 an | €695k |
| dont > 1 an | €1,14M |
| Fonds de roulement | €104k |
| Employés (ETP) | 54,1 |
| 2024 | |
|---|---|
| Current ratio | 1,15 |
| Quick ratio | 1,15 |
| Ratio fonds de roulement | 1,7% |
| Solvabilité | 65,2% |
| Debt / equity | 0,46 |
| Endettement à long terme | 0,28 |
| Interest coverage | 10,93 |
| Rentabilité brute | 57,7% |
| Rentabilité nette | 0,9% |
| ROA | 0,1% |
| ROE | 0,2% |
| Marge EBITDA | 34,8% |
| Crédit clients (DSO) | 72d |
| Crédit fournisseurs (DPO) | 134d |
| Rotation des stocks | - |
| Jours de stock (DSI) | - |
| Poste | Code | 2024 |
|---|---|---|
| Bilan, Actif | ||
| TOTAL DE L'ACTIF | 20/58 | €6,14M |
| Actifs immobilisés | 21/28 | €5,34M |
| Immobilisations corporelles | 22/27 | €5,33M |
| Immobilisations financières | 28 | €4k |
| Actifs circulants | 29/58 | €798k |
| Créances à un an au plus | 40/41 | €314k |
| Placements de trésorerie | 50/53 | €300k |
| Valeurs disponibles | 54/58 | €129k |
| Bilan, Passif | ||
| TOTAL DU PASSIF | 10/49 | €6,14M |
| Capitaux propres | 10/15 | €4,00M |
| Réserves | 13 | €822k |
| Bénéfice (perte) reporté(e) | 14 | €1,07M |
| Provisions et impôts différés | 16 | €305k |
| Dettes | 17/49 | €1,83M |
| Dettes à plus d'un an | 17 | €1,14M |
| Dettes à un an au plus | 42/48 | €695k |
| Dettes commerciales à un an au plus | 44 | €152k |
| Compte de résultats | ||
| Chiffre d'affaires | 70 | €982k |
| Résultat d'exploitation | 9901 | €38k |
| Produits financiers | 75 | €2k |
| Charges financières | 65 | €31k |
| Résultat avant impôts | 9903 | €8k |
| Résultat de l'exercice | 9904 | €8k |
| Résultat à affecter | 9905 | €8k |
| NACE primaire | 87203 |
| Forme juridique | ASBL(017) |
| Date de constitution | 10-04-1979 |
| Status | Actif |
| Code postal | 1083 |
Parcelles liées à cette entreprise via ses adresses BCE (siège, unités d'établissement, succursales), croisées avec le plan parcellaire cadastral. Ceci montre où l'entreprise est active, pas un registre de propriété.
| Parcelle (capakey) | Région | Superficie | Bâtiments | Hauteur / ét. |
|---|---|---|---|---|
| 21392B0023/02R003 | Bruxelles | 740 m² | 1 · 630 m² | 13,4 m · 1 ét. |
| 21008A0148/00M000 | Bruxelles | 173 m² | - | - |
Une seule chronologie de tout ce qui est arrivé à cette entreprise, publications, événements d'insolvabilité et de cycle de vie, changements administratifs et comptes annuels déposés.
24-09-2024 8 administrateurs nommés, 3 démissionnaires, 10 reconduits
- Bresseleers Margareta, Bestuurder
- De Deken Olivia, Bestuurder
- Vercruyssen Veronique, Bestuurder
- Veronique Vercruyssen, Bestuurder
- Braet Rita, Dagelijks bestuur
- Crahaij Luc, Dagelijks bestuur
- Janssens Christian, Dagelijks bestuur
- Van Muylem Stefan, Dagelijks bestuur
Détails techniques
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{
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}Générez une note structurée et factuelle à partir de tous les signaux de ce dossier : risque, santé financière, structure de propriété, mandats et comparaison sectorielle.
| Dénomination légale | Thuis |