2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
€309,736+8% | €286,720-11.8% | €325,146+22.2% | €266,127 | |
€7,764+125.7% | €3,441-95% | €69,573+18.1% | €58,900 | |
€33,414+197.3% | -€34,350+9.1% | -€37,791+62.6% | -€101,164 | |
€667,837-17.3% | €807,227+214.5% | €256,695-12% | €291,637 | |
€65,377+26.9% | €51,531-42.6% | €89,816+97.1% | €45,574 |
PLANETE JUMP.
BE 0476.594.751.
Besloten Vennootschap (BV) / Société à responsabilité limitée (SRL).
Corporate structure data isn't available for PLANETE JUMP right now.
PLANETE JUMP was founded on 06 Feb 2002, making it 24 years old.
Yes, PLANETE JUMP is currently active.
PLANETE JUMP's registered main activities are Rental and leasing of tents, Rental and leasing of other personal and household goods n.e.c., Organisation of conventions and trade shows, Retail trade of radio equipment and television equipment and other audio / video home use such as VCRs, camcorders, hi-fi equipment, etc., Other amusement and recreation activities n.e.c., Non-specialised retail sale of predominately food, beverages or tobacco, Activities of amusement parks and theme parks, Retail sale of bread, cake and confectionery (bread shops), Rental and leasing of marquees for exhibitions, company parties, concerts, etc., without operator, and Operation of recreational areas. It is also registered for 2 additional activities.
PLANETE JUMP's registered address is Avenue de la Gare - AUBANGE 103 box A, 6790 Aubange, Belgium.
PLANETE JUMP's most recently filed annual turnover (fiscal year ending 31 Dec 2025) was €309,736.
PLANETE JUMP's most recently filed annual accounts (fiscal year ending 31 Dec 2025) reported a profit of €7,764.
PLANETE JUMP's most recently filed annual accounts cover the fiscal year ending 31 Dec 2025.
We have no B Corp certification on file for PLANETE JUMP.
No, PLANETE JUMP does not currently hold Fairtrade certification.
Avenue de la Gare - AUBANGE 103 box A, 6790 Aubange, Belgium
Open in Google MapsShowing 2 of 2 locations.
2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
| Income statement | ||||
€309,736+8% | €286,720-11.8% | €325,146+22.2% | €266,127 | |
€182,621+14.7% | €159,277+4.5% | €152,468+8% | €141,120 | |
€27,899+8.6% | €25,689+22.4% | €20,982-9.9% | €23,276 | |
€9,360-98.6% | €694,156>1000% | €31,500-45.3% | €57,572 | |
€46,837+21.8% | €38,443-50.1% | €77,073+13.7% | €67,817 | |
— | €133,465 | — | — | |
€7,764+125.7% | €3,441-95% | €69,573+18.1% | €58,900 | |
€8,600-42.9% | €15,073+56.7% | €9,619+216.3% | €3,042 | |
| Profitability | ||||
59.0%+6.1% | 55.6%+18.5% | 46.9%-11.6% | 53.0% | |
— | 46.5% | — | — | |
2.5%+108.9% | 1.2%-94.4% | 21.4%-3.3% | 22.1% | |
23.2%+332% | -10.0%+94.6% | -184.1%-216.2% | -58.2% | |
1.1%+148.7% | 0.4%-98.6% | 31.8%+2.8% | 30.9% | |
| Solvency | ||||
€701,251-9.3% | €772,877+253.1% | €218,904+14.9% | €190,472 | |
€629,628-12.2% | €716,791+573% | €106,512-14.9% | €125,146 | |
€410% | €410% | €410% | €41 | |
€33,414+197.3% | -€34,350+9.1% | -€37,791+62.6% | -€101,164 | |
4.8%+207.2% | -4.4%+74.3% | -17.3%+67.5% | -53.1% | |
€523,037-6.5% | €559,364>1000% | €21,862-56.9% | €50,723 | |
15.65+196.1% | -16.28<-1000% | -0.58-15.4% | -0.50 | |
€667,837-17.3% | €807,227+214.5% | €256,695-12% | €291,637 | |
19.99+185.1% | -23.50-246% | -6.79-135.6% | -2.88 | |
| Liquidity | ||||
€65,377+26.9% | €51,531-42.6% | €89,816+97.1% | €45,574 | |
€1,965>1000% | €155-99.1% | €17,365+29% | €13,457 | |
€319-88.9% | €2,866-84.6% | €18,604+414.8% | €3,614 | |
€130,589-47.3% | €247,863+5.6% | €234,832-2.5% | €240,913 | |
0.04+135.3% | 0.02-81% | 0.10+17.3% | 0.08 | |
-€73,219+61.8% | -€191,819-56.6% | -€122,483+30.3% | -€175,628 | |
| Efficiency | ||||
2 days>1000% | 0 days-99% | 19 days+5.6% | 18 days | |
| Profit appropriation | ||||
-€32,786+19.2% | -€40,550+7.8% | -€43,991+61.3% | -€113,564 | |
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