2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
€299,323-86% | €2,145,296+528.5% | €341,345-87.4% | €2,709,594 | |
€10,192,307+3% | €9,892,984+27.7% | €7,747,688+4.6% | €7,406,343 | |
€326,906-16.9% | €393,315-14.5% | €459,910-19% | €567,648 | |
€524,309-42.4% | €910,123+67.6% | €543,097-66.9% | €1,641,980 |
KARABOUDJAN.
BE 0476.542.192.
Besloten Vennootschap (BV) / Société à responsabilité limitée (SRL).
Corporate structure data isn't available for KARABOUDJAN right now.
KARABOUDJAN was founded on 05 Feb 2002, making it 24 years old.
Yes, KARABOUDJAN is currently active.
KARABOUDJAN's registered main activities are Visual arts creation activities, Television film production activities, Television programme production activities, Video and film production activities, except motion picture and television films, Motion picture, video and television programme post-production activities, and Motion picture production activities. It is also registered for 4 additional activities.
KARABOUDJAN's registered address is Kleine Langeheidestraat(OTT) 26, 3040 Huldenberg, Belgium.
KARABOUDJAN's most recently filed annual accounts (fiscal year ending 31 Dec 2025) reported a profit of €299,323.
KARABOUDJAN's most recently filed annual accounts cover the fiscal year ending 31 Dec 2025.
We have no B Corp certification on file for KARABOUDJAN.
No, KARABOUDJAN does not currently hold Fairtrade certification.
Kleine Langeheidestraat(OTT) 26, 3040 Huldenberg, Belgium
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2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
| Income statement | ||||
€170,966-6.7% | €183,332-25.2% | €245,147+352.3% | €54,202 | |
€51,381+8.5% | €47,371+4.9% | €45,180+10.4% | €40,936 | |
€55,520+338.9% | €12,649-91.2% | €143,948>1000% | €9,580 | |
€71,611-27.7% | €99,048-43.2% | €174,418>1000% | -€3,422 | |
€299,323-86% | €2,145,296+528.5% | €341,345-87.4% | €2,709,594 | |
€228,326-15% | €268,637-12.1% | €305,630+12.2% | €272,516 | |
| Profitability | ||||
2.9%-86.5% | 21.7%+392.2% | 4.4%-88% | 36.6% | |
2.8%-86.4% | 20.8%+401.5% | 4.2%-87.8% | 34.0% | |
| Solvency | ||||
€10,523,897+2.3% | €10,290,983+25.3% | €8,212,282+2.9% | €7,978,675 | |
€140,070+14.6% | €122,215-23.1% | €158,942+303.8% | €39,362 | |
€4,2510% | €4,251-99.1% | €490,084+0.9% | €485,833 | |
€10,192,307+3% | €9,892,984+27.7% | €7,747,688+4.6% | €7,406,343 | |
96.8%+0.8% | 96.1%+1.9% | 94.3%+1.6% | 92.8% | |
— | — | €0-100% | €1,188 | |
— | — | 0.00-100% | 0.00 | |
€326,906-16.9% | €393,315-14.5% | €459,910-19% | €567,648 | |
0.03-19.3% | 0.04-33% | 0.06-22.5% | 0.08 | |
| Liquidity | ||||
€524,309-42.4% | €910,123+67.6% | €543,097-66.9% | €1,641,980 | |
€57,563-30% | €82,229-40.9% | €139,186-6.1% | €148,299 | |
€9,250-56% | €21,037-63.1% | €57,046+193.9% | €19,408 | |
€321,174-16.8% | €386,221-16% | €459,910-18.8% | €566,460 | |
30.15+28.1% | 23.53+54.2% | 15.26+48.8% | 10.26 | |
€10,052,671+2.9% | €9,771,202+37.6% | €7,103,346+3.1% | €6,887,019 | |
| Profit appropriation | ||||
€6,710,890+4.7% | €6,411,567+50.3% | €4,266,271+7.6% | €3,966,271 | |
€3,469,0170% | €3,469,0170% | €3,469,017+1.2% | €3,427,672 | |
Productions Associées
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