Grouping of activity sectors
Models
UnitsAmounts in thousands of EUR, or number
FrequencyAnnual
Select measures of dispersionWeighted meanMedian (Q2)Number of enterprises
Financial year201320142015201320142015201320142015
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Ratio
1. Gross operating margin (%) 6.816.857.595.966.256.5721 92122 55022 951
2. Net operating margin (%) 3.313.333.773.053.263.5221 92022 54822 949
3. Added value / Operating income (%) 19.1319.0520.2528.228.5628.6821 96122 59223 005
4. Added value / Person employed (EUR) 99 721.3999 996.96102 188.2879 397.7681 293.4483 127.2315 82316 08816 179
5. Added value / Tangible fixed assets (%) 34.2632.4432.9259.1658.4659.2820 14020 64020 927
6. Personnel charges / Added value (%) 62.2462.9161.0172.6972.0671.0716 12316 43116 599
7. Depreciation, depreciation allowances and provisions for risks and costs / Added value (%) 19.2119.2120.1710.3810.4810.4218 49418 98519 298
8. Debt charges / Added value (%) 14.2713.6212.692.862.722.4317 48817 91918 249
9. Net return on equity after tax (%) 4.224.354.115.185.885.9521 71222 19122 667
10. Cash-flow / Equity (%) 7.527.477.7913.3414.114.4121 71222 19022 665
11. Gross return on total assets before taxes and debt charges (%) 5.155.065.226.386.646.7723 99924 53124 982
12. Net return on total assets before taxes and debt charges (%) 3.463.483.373.373.523.6423 99824 53024 982
13. Liquidity in broad sense 1.41.41.41.311.311.3223 82524 39624 816
14. Liquidity in narrow sense 1.291.291.291.091.091.123 72724 30624 735
15.1 Stock turnover of raw material and consumables (except for the building industry) 1110.739.837.327.317.177 9438 0778 043
15.2 Stock turnover of raw material and consumables (only for the building industry) 12.7412.4411.629.6130.8231.15824846854
16.1 Stock turnover of goods being processed and finished goods (except for the building industry) 36.4137.7234.8719.6419.518.972 1642 1552 129
16.2 Stock turnover of goods being processed and finished goods (only for the building industry) 27.928.4225.7813.8714.6813.55736762754
17. Number of days of customer credit 55.1253.5155.4847.4146.5745.6622 08222 70723 131
18. Number of days of supplier credit 56.2854.4958.4455.0855.2655.0123 85724 39124 853
19. Degree of financial independence (%) 51.3450.8350.6637.2537.2637.6123 97224 51124 964
20. Acquisition of tangible fixed assets / Added value (%) 25.0723.7923.65.635.856.0315 11415 32315 461
21. Renewal rate of tangible fixed assets (%)20.1217.916.7217.6217.9519.1715 31615 53615 584
Data extracted on 22 Oct 2017 09:07 UTC (GMT) from NBB.Stat

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