Grouping of activity sectors
Models
UnitsIn percentages, units of EUR, or number
FrequencyAnnual
Select measures of dispersionWeighted meanMedian (Q2)Number of enterprises
Financial year201720182019201720182019201720182019
Ratio
1. Gross operating margin (%) 7.887.287.416.416.366.3718 42517 92017 067
2. Net operating margin (%) 3.883.483.593.543.453.3518 42417 91817 066
3. Added value / Operating income (%) 19.7518.5818.8726.8826.9826.4818 45417 94817 099
4. Added value / Person employed (EUR) 109 559.48109 761.24114 274.4887 289.5888 482.9790 050.1513 43413 21312 728
5. Added value / Tangible fixed assets (%) 33.3832.8833.2361.6261.2261.8316 73316 29015 481
6. Personnel charges / Added value (%) 58.458.858.1169.4569.5969.6713 81813 51412 977
7. Depreciation, depreciation allowances and provisions for risks and costs / Added value (%) 21.2421.5621.1110.2110.2410.2915 60615 13514 410
8. Debt charges / Added value (%) 11.1310.259.042.122.031.9614 72214 33113 769
9. Net return on equity after tax (%) 4.237.467.666.126.296.6318 49317 95217 018
10. Cash-flow / Equity (%) 8.1812.7912.7814.1914.615.0518 49217 95117 062
11. Gross return on total assets before taxes and debt charges (%) 5.087.217.136.866.857.1619 90119 31818 259
12. Net return on total assets before taxes and debt charges (%) 3.254.734.753.763.653.8719 90119 31818 251
13. Liquidity in broad sense 1.341.281.271.331.311.3319 75019 19418 169
14. Liquidity in narrow sense 1.211.131.111.11.081.119 68419 13618 136
15.1 Stock turnover of raw material and consumables (except for the building industry) 8.38.117.767.036.916.866 8086 6206 351
15.2 Stock turnover of raw material and consumables (only for the building industry) 9.238.918.5334.8636.838.59690670656
16.1 Stock turnover of goods being processed and finished goods (except for the building industry) 35.936.236.2219.5119.1518.961 9251 9071 843
16.2 Stock turnover of goods being processed and finished goods (only for the building industry) 27.828.428.2514.7614.3914.61600591588
17. Number of days of customer credit 58.4457.0556.548.4448.3847.5218 53318 04017 190
18. Number of days of supplier credit 66.1766.5863.8955.7756.155.3119 80919 21518 185
19. Degree of financial independence (%) 46.6446.4946.6639.2139.2840.4219 88119 30118 250
20. Acquisition of tangible fixed assets / Added value (%) 23.5425.8124.456.646.86.6712 82112 50111 995
21. Renewal rate of tangible fixed assets (%)17.9619.3918.4620.4220.9520.6112 98912 66212 200
Data extracted on 28 Nov 2023 09:20 UTC (GMT) from NBB.Stat

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