⚠️

This entity was acquired

The activities and HOA portfolio of 0833.402.719 were transferred to Parte Group.

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72
Total HOAs
3
Regions
13
Municipalities
Flanders 4 Brussels 67 Wallonia 1
Professional syndic
Personal syndic
Syndic office
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📊 Key financials

Source: NBB annual accounts (2011-2025). Amounts in euros.

View at NBB →
💶
€ 137.839
Gross margin · 2025
▼ 60,6% vs 2024
📈
€ -25.060
Net result · 2025
▼ 171,3% vs 2024
🏦
€ -36.011
Equity · 2025
▼ 228,8% vs 2024
👥
5.5
Avg FTE · 2025
▲ 0% vs 2024
Revenue (gross margin)
Year-on-year evolution
2011
€4k
2012
€16k
2013
€40k
2014
€151k
2015
€200k
2016
€218k
2017
€282k
2018
€267k
2019
€117k
2020
€186k
2021
€183k
2022
€265k
2023
€301k
2024
€350k
2025
€138k
Net result
After tax
2011
€1k
2012
€9k
2013
€9k
2014
€961
2015
€7k
2016
€230
2017
€660
2018
€8k
2019
€-102k
2020
€-11k
2021
€-22k
2022
€45k
2023
€14k
2024
€35k
2025
€-25k
Equity
At closing date
2011
€8k
2012
€11k
2013
€14k
2014
€15k
2015
€22k
2016
€22k
2017
€23k
2018
€30k
2019
€-71k
2020
€-83k
2021
€-105k
2022
€-60k
2023
€-46k
2024
€-11k
2025
€-36k
Average FTE
Full-time equivalents
2013
1.0
2014
3.4
2015
4.3
2016
4.7
2017
6.4
2018
5.3
2019
3.9
2020
3.8
2021
3.8
2022
3.6
2023
4.9
2024
5.5
2025
5.5
Income statement & balance sheet
Consolidated from published XBRL filings.
Show 10 earlier yearsApproved 30 Dec 2025
Line item20252024202320222021
Income statement
Gross operating margin€ 137.839€ 349.829€ 301.186€ 265.465€ 183.086
Personnel costs€ -130.892€ -255.389€ -221.677€ -159.637€ -156.881
Depreciation-----
Operating result€ -21.235€ 58.434€ 34.066€ 60.340€ -13.426
Financial income-----
Financial charges-----
Result before tax-----
Income taxes-----
Net result€ -25.060€ 35.146€ 13.911€ 44.967€ -22.391
Balance sheet
Total assets€ 92.876€ 103.893€ 149.278€ 156.399€ 197.878
Receivables ≤ 1 year-----
Cash & equivalents€ 2.950€ 11.267€ 327€ 689€ 5.794
Equity€ -36.011€ -10.951€ -46.097€ -60.008€ -104.974
Amounts payable-----
Workforce
Average FTE5.55.54.93.63.8

HOA portfolio 72 HOAsManaged by Parte Group

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