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This entity was acquired

The activities and HOA portfolio of 0542.539.113 were transferred to Parte Group.

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308
Total HOAs
243 direct + 65 via acquisitions
1
Regions
25
Municipalities
Flanders 308 Brussels 0 Wallonia 0
Professional syndic
Personal syndic
Syndic office
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📊 Key financials

Source: NBB annual accounts (2015-2025). Amounts in euros.

View at NBB →
💶
€ 720.210
Gross margin · 2025
▼ 40,4% vs 2024
📈
€ 44.347
Net result · 2025
▼ 80,2% vs 2024
🏦
€ 529.102
Equity · 2025
▲ 9,1% vs 2024
👥
16.8
Avg FTE · 2025
▲ 50% vs 2024
Revenue (gross margin)
Year-on-year evolution
2015
€81k
2016
€130k
2017
€308k
2018
€390k
2019
€531k
2020
€721k
2021
€871k
2022
€1,1M
2023
€947k
2024
€1,2M
2025
€720k
Net result
After tax
2015
€49k
2016
€-47k
2017
€-68k
2018
€111k
2019
€208k
2020
€189k
2021
€256k
2022
€255k
2023
€181k
2024
€224k
2025
€44k
Equity
At closing date
2015
€56k
2016
€9k
2017
€-59k
2018
€52k
2019
€35k
2020
€36k
2021
€67k
2022
€172k
2023
€203k
2024
€485k
2025
€529k
Average FTE
Full-time equivalents
2016
2.8
2017
5.9
2018
5.0
2019
4.9
2020
7.3
2021
10.1
2022
10.5
2023
10.2
2024
11.2
2025
16.8
Income statement & balance sheet
Consolidated from published XBRL filings.
Show 6 earlier yearsApproved 30 Dec 2025
Line item20252024202320222021
Income statement
Gross operating margin€ 720.210€ 1.209.040€ 947.346€ 1.112.233€ 871.041
Personnel costs€ -610.358€ -790.524€ -675.000€ -728.971€ -499.735
Depreciation-----
Operating result€ 53.996€ 314.747€ 184.440€ 297.333€ 299.378
Financial income-----
Financial charges-----
Result before tax-----
Income taxes-----
Net result€ 44.347€ 223.707€ 181.280€ 255.011€ 255.772
Balance sheet
Total assets€ 2.214.071€ 1.974.284€ 880.527€ 851.198€ 870.524
Receivables ≤ 1 year-----
Cash & equivalents€ 27.711€ 37.398€ 41.055€ 33.152€ 101.849
Equity€ 529.102€ 484.755€ 203.183€ 171.903€ 66.892
Amounts payable-----
Workforce
Average FTE16.811.210.210.510.1

📂 Transactions & consolidations

Related entity Type Date Description Actions
Absorption
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HOA portfolio 308 HOAsManaged by Parte Group

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