BCR BATIMENT financials
A multi-period view of the public annual-account figures reported for BCR BATIMENT, with comparable measures and links to available source documents.
Company overviewRegistry number
0803453473
Fiscal coverage
2024–2025
Public sources
cbso_bulk
Data updated
Jul 28, 2026
Financial evidence
Latest movements for BCR BATIMENT
2025 versus 2024
- Operating line
- €12,611
- Total assets
- €70,982
- Equity
- €56,096
-77.5%
-42.7%
+18.3%
EBITDA margin +90.2% · Equity ratio +79%
Multi-year filings
Source: NBB/CBSOFiled annual accounts by fiscal year
Public regulator-filed figures across 2 years.
Fiscal year | Gross margin | EBITDA | Total assets | Equity | Filing |
|---|---|---|---|---|---|
| 202530 Nov 2025 | €12,611 | €11,378 | €70,982 | €56,096 | - |
| 202430 Nov 2024 | €56,154 | - | €123,940 | €47,429 | - |
Figures reproduce public filings and may use country-specific accounting definitions. They are not audited by Upswitch.