Situation normale

KADEMER
 SRL

3582 Beringen
Since 05/07/2019
BE0729838985
Financial Health Indicator
9
Equity
€95.3K
+42% YoY
Gross Operating Margin
€50.5K
+34% YoY
EBITDA
€49.2K
+34% YoY
Gain/Loss
€28.3K
+44% YoY

KADEMER’s business network visualized

Explore our interactive spiderweb to visually navigate KADEMER’s entire network of mandates and participations. Get insights into both current and historical connections.

Spiderweb KADEMER
KADEMER
  • Turgay KADEMER
    Koersel

Detailed insights into KADEMER’s financial history

See financial trends including, equity, operating income, profit/loss and employees of KADEMER. Compare KPI’s against similar companies. Explore financial ratios, annual accounts and much more.

Financials 1
Financials 2
Financials 3
Financials 4
2024 2023 2022 2021 2020
Equity
95.3K
67.0K
47.4K
34.7K
29.5K
Gross Operating Margin
50.5K
37.7K
25.8K
12.7K
30.6K
Gain/Loss
28.3K
19.7K
12.7K
5.2K
20.3K

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Frequently asked questions about KADEMER

  • Where is KADEMER located?

    KADEMER’s headquarters is located in Pieter Vanhoudtstraat 101 , 3582 Beringen.
  • Who are the directors of KADEMER?

    KADEMER’s directors include
    • Turgay KADEMER
  • When was KADEMER founded?

    KADEMER was founded in 2019-07-05. KADEMER has been active for 7 years.
  • What are KADEMER’s NACEBEL codes?

    KADEMER’s NACEBEL codes are
    • 43990 Autres travaux de construction spécialisés nca (2025)
    • 43999 Autres activités de construction spécialisées (2008)
  • What is KADEMER’s VAT number?

    KADEMER’s VAT number is BE0729838985.
  • What is KADEMER’s juridical form?

    KADEMER’s juridical type is Société à responsabilité limitée (SRL).
  • How is the financial situation of KADEMER?

    openthebox has estimated that KADEMER’s financial health score to be 9/10.