Grouping of activity sectors
Models
UnitsIn percentages, units of EUR, or number
FrequencyAnnual
Select measures of dispersionWeighted meanMedian (Q2)Number of enterprises
Financial year201920202021201920202021201920202021
Ratio
1. Gross operating margin (%) 7.417.668.016.376.527.117 06717 06516 493
2. Net operating margin (%) 3.593.293.953.353.344.117 06617 06316 491
3. Added value / Operating income (%) 18.8720.0719.3726.4826.8326.6117 09917 10616 538
4. Added value / Person employed (EUR) 114 274.48109 983.04119 894.7390 050.1588 018.0795 800.9412 72812 71212 271
5. Added value / Tangible fixed assets (%) 33.2331.0633.5861.8358.3763.8915 48115 42014 949
6. Personnel charges / Added value (%) 58.1159.7256.7869.6769.4667.1112 97712 88512 582
7. Depreciation, depreciation allowances and provisions for risks and costs / Added value (%) 21.1122.7422.1110.2910.949.4814 41014 35613 976
8. Debt charges / Added value (%) 9.048.787.391.961.911.6913 76913 70813 460
9. Net return on equity after tax (%) 7.663.357.586.635.748.2917 01817 03216 502
10. Cash-flow / Equity (%) 12.789.4311.8515.0513.7216.2617 06217 07616 550
11. Gross return on total assets before taxes and debt charges (%) 7.135.546.527.166.527.4418 25918 31317 669
12. Net return on total assets before taxes and debt charges (%) 4.752.654.553.873.314.418 25118 30517 662
13. Liquidity in broad sense 1.271.281.231.331.371.3618 16918 23617 574
14. Liquidity in narrow sense 1.111.131.081.11.131.1118 13618 20917 540
15.1 Stock turnover of raw material and consumables (except for the building industry) 7.767.238.536.866.396.436 3516 3496 144
15.2 Stock turnover of raw material and consumables (only for the building industry) 8.538.079.4538.5933.3329.94656668660
16.1 Stock turnover of goods being processed and finished goods (except for the building industry) 36.2232.963018.9618.1317.981 8431 8691 818
16.2 Stock turnover of goods being processed and finished goods (only for the building industry) 28.2525.2824.4714.6113.8212.83588594573
17. Number of days of customer credit 56.558.3961.3247.5247.0748.3217 19017 19916 599
18. Number of days of supplier credit 63.8969.8675.7955.3155.8457.1718 18518 24017 600
19. Degree of financial independence (%) 46.6647.4746.7640.4241.5341.3618 25018 30817 663
20. Acquisition of tangible fixed assets / Added value (%) 24.4522.6522.336.676.095.9211 99511 87911 614
21. Renewal rate of tangible fixed assets (%)18.4615.6716.6320.6117.218.6412 20012 16511 834
Data extracted on 29 Mar 2025 15:29 UTC (GMT) from NBB.Stat

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