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Visual Online S.A.

Contern, Luxemburg

Visual Online S.A., Contern, Luxemburg · Înregistrează-te: B79872 · LEI: 9845002A85D08084ZC82 · Forma companiei: SA · Stare: active. Revenue, earnings and total assets included. · Free company profile — no paywall, no login

7.400.000 € Estimate

Umsatz2016: 10 Mio. €2017: 9.700.000 €2018: 8.100.000 €2019: 8.300.000 €2020: 8.000.000 €2021: 8.000.000 €2022: 8.100.000 €2023: 7.900.000 €2024: 7.700.000 €2025: 7.400.000 €
2016201720182019202020212022202320242025

Financials

Indicator31.12.201631.12.201731.12.201831.12.201931.12.202031.12.202131.12.202231.12.202331.12.202431.12.2025
Bilanzsumme5.347.703 €5.187.200 €4.793.224 €5.048.820 €4.869.701 €5.115.373 €4.987.527 €4.589.987 €5.051.383 €4.999.688 €
Umsatz10 Mio. €e9.700.000 €e8.100.000 €e8.300.000 €e8.000.000 €e8.000.000 €e8.100.000 €e7.900.000 €e7.700.000 €e7.400.000 €e
Eigenkapital3.505.818 €3.706.841 €3.762.285 €3.965.179 €4.077.562 €4.074.143 €3.993.401 €3.785.714 €4.113.521 €4.062.779 €
EK-Quote65,6 %71,5 %78,5 %78,5 %83,7 %79,6 %80,1 %82,5 %81,4 %81,3 %
Mitarbeiterzahl16e17e19e20e19e19e18e16e
Umsatz pro Mitarbeiter625.000 €e570.588 €e436.842 €e400.000 €e421.053 €e426.316 €e438.889 €e462.500 €e
Kassenbestand2.825.652 €2.533.820 €2.442.897 €2.674.367 €2.660.093 €2.666.144 €2.457.731 €2.047.534 €2.770.301 €2.796.046 €
Forderungen961.006 €834.397 €570.086 €576.275 €535.650 €500.217 €540.304 €540.935 €458.499 €406.689 €
Verbindlichkeiten782.926 €1.207.741 €566.291 €563.483 €384.587 €655.603 €625.191 €504.606 €617.352 €604.961 €
Umsatz CAGR−3 %e−10 %e−6 %e−5,4 %e−4,7 %e0 %e−1,2 %e−1 %e−1,9 %e

e = Statistical estimate, not a published figure

Balance sheet

Position2016-12-312017-12-312018-12-312019-12-312020-12-312021-12-312022-12-312023-12-312024-12-312025-12-31
VERMÖGEN5.347.7035.187.2004.793.2245.048.8204.869.7015.115.3734.987.5274.589.9875.051.3834.999.688
Anlagevermögen1.458.9731.717.2331.714.8941.699.5611.577.2571.610.7611.662.7581.651.2601.486.6501.461.673
Immaterielle Vermögenswerte32.69525.56832.79339.55450.81443.734152.083136.197108.07767.723
Sachvermögen1.411.2781.676.6651.667.1001.645.0071.511.4421.552.0271.495.6751.500.0621.363.5731.378.951
Finanzaktiva15.00015.00015.00015.00015.00015.00015.00015.00015.00015.000
Umlaufvermögen3.814.7873.405.4403.064.5643.335.2263.274.5403.486.5273.306.0322.907.9193.541.6763.502.101
Bestände28.12837.22351.58284.58378.79785.33081.14677.48775.99473.103
Schuldner961.006834.397570.086576.275535.650500.217540.304540.935458.499406.689
Investments234.837226.851241.963236.881226.264
Bargeld bei der Bank und in der Hand2.825.6522.533.8202.442.8972.674.3672.660.0932.666.1442.457.7312.047.5342.770.3012.796.046
Vorauszahlungen73.94364.52713.76614.03417.90418.08518.73730.80923.05735.913
KAPITAL, RÜCKLAGEN UND VERBINDLICHKEITEN5.347.7035.187.2004.793.2245.048.8204.869.7015.115.3734.987.5274.589.9875.051.3834.999.688
Kapital und Rücklagen3.505.8183.706.8413.762.2853.965.1794.077.5624.074.1433.993.4013.785.7144.113.5214.062.779
Gezeichnetes Kapital563.500563.500563.500563.500563.500563.500563.500563.500563.500563.500
Reserven249.410276.085302.850353.400405.800460.950507.950528.225533.650546.125
Gewinn- oder Verlustvortrag2.114.0482.225.2332.350.4912.450.3852.559.8792.453.1122.402.6932.401.6762.688.5642.503.896
Ergebnis des Geschäftsjahres578.860642.022545.445597.894548.383596.580519.258292.313327.807449.258
Proviant788.833186.929219.523153.085146.710131.21560.20292.892107.552
Gläubiger782.9261.207.741566.291563.483384.587655.603625.191504.606617.352604.961
Rechnungsabgrenzungsposten270.126272.618277.718300.635254.466238.918237.720239.465227.618224.396

History

  1. Direktor Christian Gatti

    21.10.2019 Direktor Christian Gatti

    Rcsf
  2. Direktor G. Bourdonnaye

    07.02.2018 Direktor Gabriel Pascal Marie-Joseph De la Bourdonnaye

    Rcsf
  3. Direktor Joseph E. Glod

    11.05.2016 - 09.02.2018 Direktor Joseph Emile Glod

    Rcsf
  4. Direktor Claude Schuler

    22.05.2015 Direktor Claude Gérard Georges Schuler

    Rcsf
  5. Direktor Christian Schmit

    22.05.2015 - 23.10.2019 Direktor Christian Schmit

    Rcsf
  6. Direktor G. Bohnenberger

    14.05.2014 Direktor Gaston Bohnenberger

    Rcsf
  7. Eintragung

    15.01.2001 Eintragung

    Rcsp
  8. → Post Luxembourg EP

    15.01.2001 Direkte Muttergesellschaft Post Luxembourg EP

FAQ — Visual Online S.A.

What is the LEI of Visual Online S.A.?
The Legal Entity Identifier (LEI) of Visual Online S.A. is 9845002A85D08084ZC82.
Care este numărul de înregistrare al Visual Online S.A.?
Visual Online S.A. is registered under the number B79872 in the official register (Luxemburg).
Where is Visual Online S.A. registered?
Visual Online S.A. are adresa înregistrată în Contern, Luxemburg.
Extrasul de registru al Visual Online S.A. este gratuit?
Yes. Eulerpool provides all company register data — including the complete record of Visual Online S.A. — completely free of charge, with no login required.

Official registry record

Extrasul complet al registrului oficial — fiecare câmp din LEI / registrul companiilor, gratuit, fără autentificare.

Official registry record — Visual Online S.A.
legal_nameVisual Online S.A.
legal_cityContern
registration_authority_entity_idB79872
legal_jurisdictionLU
lei9845002A85D08084ZC82
entity_categoryGENERAL
entity_legal_form_code5GGB
legal_first_address_line6 Rue Goell
legal_additional_address_lineZone Industrielle Weiergewan
legal_postal_code5326
headquarters_first_address_line6 Rue Goell
headquarters_additional_address_lineZone Industrielle Weiergewan
headquarters_cityContern
headquarters_postal_code5326
next_renewal_date02.11.2024
last_update_date03.10.2023
managing_lou529900T8BM49AURSDO55
registration_statusISSUED
validation_sourcesFULLY_CORROBORATED