Bedragen x € 1.000 | ||||||
---|---|---|---|---|---|---|
Prognose meerjarenbalans | Realisatie | Begroting | ||||
2024 | 2025 | 2026 | 2027 | 2028 | 2029 | |
Activa | ||||||
Vaste activa | ||||||
Immateriële vaste activa | 448 | 423 | 397 | 372 | 346 | 321 |
Materiële vaste activa | 79.720 | 91.479 | 109.205 | 123.678 | 132.930 | 132.672 |
Financiële vaste activa | 3.253 | 3.247 | 3.241 | 3.235 | 3.229 | 3.223 |
Totaal vaste activa | 83.421 | 95.149 | 112.843 | 127.285 | 136.505 | 136.216 |
Vlottende activa | ||||||
Voorraden | -695 | -1.030 | 0 | 0 | 0 | 0 |
Uitzettingen | 17.433 | 9.785 | 9.785 | 9.785 | 9.785 | 9.785 |
Liquide middelen | 551 | 0 | 0 | 0 | 0 | 0 |
Overlopende activa | 4.038 | 4.038 | 4.038 | 4.038 | 4.038 | 4.038 |
Totaal vlottende activa | 21.327 | 12.793 | 13.823 | 13.823 | 13.823 | 13.823 |
Totaal activa | 104.748 | 107.942 | 126.666 | 141.108 | 150.328 | 150.039 |
Passiva | ||||||
Vaste passiva | ||||||
Reserves | 31.116 | 35.537 | 33.615 | 34.547 | 34.252 | 32.806 |
Resultaat boekjaar | 4.797 | -1.239 | 1.547 | 562 | -930 | -126 |
Voorzieningen | 11.864 | 10.522 | 9.503 | 9.381 | 8.438 | 7.588 |
Vaste schuld | 47.548 | 46.787 | 65.282 | 80.880 | 92.699 | 93.908 |
Totaal vaste passiva | 95.325 | 91.607 | 109.947 | 125.370 | 134.459 | 134.175 |
Vlottende passiva | ||||||
Vlottende schuld | 2.174 | 9.085 | 9.470 | 8.489 | 8.620 | 8.615 |
Overlopende passiva | 7.249 | 7.249 | 7.249 | 7.249 | 7.249 | 7.249 |
Totaal vlottende passiva | 9.423 | 16.334 | 16.719 | 15.738 | 15.869 | 15.864 |
Totaal passiva | 104.748 | 107.941 | 126.666 | 141.108 | 150.328 | 150.039 |