BALANS PER 31 DECEMBER (bedragen x € 1.000) |
2021 |
2022 |
2023 |
2024 |
2025 |
2026 |
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|
|
ACTIVA |
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|
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Vaste activa |
|
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|
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|
Immateriële vaste activa |
908 |
882 |
855 |
828 |
805 |
782 |
Materiële vaste activa |
154.147 |
176.090 |
193.344 |
188.940 |
184.064 |
179.188 |
Financiële vaste activa |
9.807 |
10.150 |
10.150 |
10.150 |
10.150 |
10.150 |
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|
|
|
|
|
|
Totaal vaste activa |
164.862 |
187.122 |
204.349 |
199.918 |
195.019 |
190.120 |
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Vlottende activa |
|
|
|
|
|
|
|
|
|
|
|
|
|
Voorraden |
2.272 |
4.523 |
4.523 |
4.523 |
4.523 |
4.523 |
Uitzettingen korter dan één jaar |
5.925 |
1.000 |
1.000 |
1.000 |
1.000 |
1.000 |
Overlopende activa |
14.761 |
250 |
250 |
250 |
250 |
250 |
Liquide middelen |
502 |
500 |
500 |
500 |
500 |
500 |
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|
|
|
|
|
|
Totaal vlottende activa |
23.460 |
6.273 |
6.273 |
6.273 |
6.273 |
6.273 |
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|
|
|
|
|
|
Totaal activa |
188.322 |
193.395 |
210.622 |
206.191 |
201.292 |
196.393 |
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PASSIVA |
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Vaste financieringsmiddelen |
|
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|
|
|
|
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Eigen vermogen |
43.407 |
41.520 |
39.027 |
38.580 |
39.454 |
43.102 |
Verwacht resultaat |
|
|
|
1.322 |
4.085 |
-4.857 |
Voorzieningen |
23.017 |
23.427 |
20.628 |
19.327 |
17.341 |
15.234 |
Langlopende schulden |
95.380 |
97.519 |
135.689 |
129.515 |
123.165 |
116.815 |
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|
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Totaal vaste financieringsmiddelen |
161.804 |
162.467 |
195.344 |
188.744 |
184.045 |
170.294 |
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Vlottende passiva |
|
|
|
|
|
|
|
|
|
|
|
|
|
Kortlopende schulden |
12.791 |
18.463 |
13.102 |
13.102 |
14.102 |
14.102 |
Overlopende passiva |
13.727 |
12.465 |
2.176 |
4.345 |
3.145 |
11.997 |
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|
Totaal vlottende passiva |
26.518 |
30.928 |
15.278 |
17.447 |
17.247 |
26.099 |
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|
|
|
|
|
|
Totaal passiva |
188.322 |
193.395 |
210.622 |
206.191 |
201.292 |
196.393 |