Grouping of activity sectors
Models
UnitsIn percentages, units of EUR, or number
FrequencyAnnual
Select measures of dispersionWeighted meanMedian (Q2)Number of enterprises
Financial year202020212022202020212022202020212022
Ratio
1. Gross operating margin (%) 7.668.01..6.527.1..17 06516 493..
2. Net operating margin (%) 3.293.953.893.344.13.9217 06316 49116 495
3. Added value / Operating income (%) 20.0719.3717.9326.8326.6125.3617 10616 53816 540
4. Added value / Person employed (EUR) 109 983.04119 894.73131 187.2488 018.0795 800.94101 580.7412 71212 27112 372
5. Added value / Tangible fixed assets (%) 31.0633.5836.4958.3763.8969.6815 42014 94914 950
6. Personnel charges / Added value (%) 59.7256.7854.9369.4667.1167.2812 88512 58212 712
7. Depreciation, depreciation allowances and provisions for risks and costs / Added value (%) 22.7422.1122.4110.949.489.2314 35613 97614 077
8. Debt charges / Added value (%) 8.787.397.791.911.691.7413 70813 46013 578
9. Net return on equity after tax (%) 3.357.587.075.748.298.7317 03216 50216 502
10. Cash-flow / Equity (%) 9.4311.8512.4113.7216.2616.7317 07616 55016 551
11. Gross return on total assets before taxes and debt charges (%) 5.546.526.836.527.447.6918 31317 66917 605
12. Net return on total assets before taxes and debt charges (%) 2.654.554.43.314.44.5218 30517 66217 596
13. Liquidity in broad sense 1.281.231.211.371.361.3418 23617 57417 543
14. Liquidity in narrow sense 1.131.081.051.131.111.0918 20917 54017 519
15.1 Stock turnover of raw material and consumables (except for the building industry) 7.238.539.96.396.436.316 3496 1446 250
15.2 Stock turnover of raw material and consumables (only for the building industry) 8.079.4510.7833.3329.9427.62668660682
16.1 Stock turnover of goods being processed and finished goods (except for the building industry) 32.963031.918.1317.9817.931 8691 8181 842
16.2 Stock turnover of goods being processed and finished goods (only for the building industry) 25.2824.4726.9913.8212.8315.04594573602
17. Number of days of customer credit 58.3961.3258.0547.0748.3247.317 19916 59916 619
18. Number of days of supplier credit 69.8675.7972.9155.8457.1755.7118 24017 60017 546
19. Degree of financial independence (%) 47.4746.7645.8641.5341.3641.0718 30817 66317 601
20. Acquisition of tangible fixed assets / Added value (%) 22.6522.3321.876.095.926.0811 87911 61411 858
21. Renewal rate of tangible fixed assets (%)15.6716.6318.2617.218.6420.3812 16511 83412 040
Data extracted on 02 Nov 2025 15:34 UTC (GMT) from NBB.Stat

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