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"Dumont Pierre & Fils"

Active companySociété à responsabilité limitéeBE 0447.432.096
Registered officeCiney
Founded1992
Headcount
Locations1 establishments
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Product universe
43.990 · Autres travaux de construction spécialisés nca

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Identity, activity, filings and a two-year financial snapshot — like the public profile.

Company summary

Not provided

Gross margin 2024
44.1 k€
-18 % year on year
Net result 2024
16.5 k€
Positive result
Headcount
Microstructure
Establishments
1
1 municipalities

Activities and NACE codes

Every code, not only the principal activity.
All NACE codes
Autres travaux de construction spécialisés nca (43990)Travaux de préparation des sites (43120)Terrassements (45112)

Visuals

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Legal publications

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Map and locations

Registered office and establishments.
HQ Sites 1 · 1 municipalities

Establishment list

HQ · Ciney

Rue du Fau Monin 16, 5590 Ciney

Establishment unit 2.057.606.758 · Since 1992-06-03

Activities at this site

13
42.911 · Travaux de dragage42.219 · Construction d'ouvrages de génie civil pour les fluides, nca42.990 · Construction d’autres ouvrages de génie civil nca81.300 · Activités de service d’aménagement paysager43.120 · Travaux de préparation des sites42.212 · Construction de réseaux d'évacuation des eaux usées42.220 · Construction d'ouvrages de génie civil pour l'électricité et les télécommunications42.110 · Construction de routes et autoroutes
Show 5 more
4312001 · Travaux de terrassement: creusement, comblement, nivellement de chantiers de construction, ouverture de tranchées, dérochement, destruction à l'explosif, etc42.211 · Construction de réseaux de distribution d'eau et de gaz43.422 · Pose de chapes4312003 · Rabattement de la nappe aquifère et drainage des chantiers des construction4299001 · Construction de terrains de jeux et de sport, de bassins de natation, etc

Source BCE / KBO

Financial analysis

Ratios, structures, last two years and commentary.
See moreFinancial year 2024
Total assets263.0 k€+9 %
Equity229.4 k€+8 %
Liabilities33.5 k€+17 %
Cash129.5 k€-7 %
Solvency87 %-1 %
Liquidity4.36-21 %
ROE7 %-53 %
Customer payment term87 d+2 %

Last two years

20242023Trend
Gross margin44.1 k€53.5 k€
-18 %
Net result16.5 k€31.3 k€
-47 %
Equity229.4 k€212.9 k€
+8 %
Liabilities33.5 k€28.6 k€
+17 %
Cash129.5 k€138.8 k€
-7 %

Team and key contacts

Directors, legal representative and link to the company profile.

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Products, what the company does, opportunities, events and key people.

What the company does

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Purpose

Not provided

Origin

Not provided

Founders

Not provided

Key registration

43.990 · Autres travaux de construction spécialisés nca

Flagship offers

Not provided

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Visuals

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Contact details

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Team

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Events

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Candidate reading

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Workplaces

Registered office and establishments.
HQ Sites 1 · 1 municipalities

Establishment list

HQ · Ciney

Rue du Fau Monin 16, 5590 Ciney

Establishment unit 2.057.606.758 · Since 1992-06-03

Activities at this site

13
42.911 · Travaux de dragage42.219 · Construction d'ouvrages de génie civil pour les fluides, nca42.990 · Construction d’autres ouvrages de génie civil nca81.300 · Activités de service d’aménagement paysager43.120 · Travaux de préparation des sites42.212 · Construction de réseaux d'évacuation des eaux usées42.220 · Construction d'ouvrages de génie civil pour l'électricité et les télécommunications42.110 · Construction de routes et autoroutes
Show 5 more
4312001 · Travaux de terrassement: creusement, comblement, nivellement de chantiers de construction, ouverture de tranchées, dérochement, destruction à l'explosif, etc42.211 · Construction de réseaux de distribution d'eau et de gaz43.422 · Pose de chapes4312003 · Rabattement de la nappe aquifère et drainage des chantiers des construction4299001 · Construction de terrains de jeux et de sport, de bassins de natation, etc

Source BCE / KBO

Team and key contacts

Directors, legal representative and link to the company profile.

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Structure, ratios and multi-year analysis.

Financial analysis

Ratios, structures, last two years and commentary.
Financial year 2024
Total assets263.0 k€+9 %
Equity229.4 k€+8 %
Liabilities33.5 k€+17 %
Cash129.5 k€-7 %
Solvency87 %-1 %
Liquidity4.36-21 %
ROE7 %-53 %
Customer payment term87 d+2 %

Last two years

20242023Trend
Gross margin44.1 k€53.5 k€
-18 %
Net result16.5 k€31.3 k€
-47 %
Equity229.4 k€212.9 k€
+8 %
Liabilities33.5 k€28.6 k€
+17 %
Cash129.5 k€138.8 k€
-7 %

Detailed financial analysis

Trends, ratios and a reading of the retrieved years.

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