Empleados: 12 (2023.0)Categoría jurídica: SCA (commandite par actions)Tamaño: PMEFecha de creación: 2019-12-17 (6 años)Estado: ActivaSector de actividad: Autres transports routiers de voyageurs Ubicación: LE CANNET (06110), Alpes-Maritimes
Les données financières de cette entreprise sont partiellement disponibles (liasse simplifiée ou données confidentielles). Certaines sections ne sont pas affichées.
SAS TAD'AIX : revenue, balance sheet and financial ratios
SAS TAD'AIX is a French company
founded 6 years ago,
specialized in the sector Autres transports routiers de voyageurs .
Based in LE CANNET (06110),
this company of category PME
shows in 2024 a net income negative of -66 k€.
Find below the complete financial statements, solvency ratios, working capital requirements and sector comparison.
Historique financier - SAS TAD'AIX (SIREN 880204011)
Indicador
2024
2023
2022
2021
2020
Ingresos
N/C
N/C
N/C
N/C
N/C
Resultado neto
-66 006 €
-138 465 €
13 994 €
94 662 €
153 572 €
EBITDA
N/C
N/C
N/C
N/C
N/C
Margen neto
N/C
N/C
N/C
N/C
N/C
Ingresos y cuenta de resultados
In 2024, SAS TAD'AIX records a net loss of 66 k€. This deficit will reduce equity on the balance sheet.
Resultado neto (2024)
?
Resultado neto
Definición
Bénéfice ou perte après toutes les charges, y compris impôts et éléments exceptionnels.
Fórmula
Resultado corriente + Resultado excepcional - Impuesto sobre beneficios
-66 006 €
Chargement du compte de résultat...
Cuenta de resultados
Poste
Importe
% CA
Evolución
Le compte de résultat détaillé n'est pas disponible pour cette entreprise (liasse simplifiée ou données confidentielles).
Évolution graphique
Mostrar :
Visualización creada con numbers.finance Sources : INPI & BCE - Ajustes : Ministère de l'Économie
Activo
Chargement des données...
Poste
Bruto
Amort.
Neto
%
Evolución
Données de bilan actif non disponibles pour cette entreprise
Pasivo
Chargement des données...
Poste
Ejercicio
%
Evolución
Données de bilan passif non disponibles pour cette entreprise
Ratios de solvencia y endeudamiento
The debt ratio (= Financial debt / Equity x 100) stands at 1%. This very low level reflects a solid financial structure, offering significant room for future investments or acquisitions. Financial autonomy (= Equity / Total assets x 100) reaches 18%. Low autonomy: the company heavily depends on external financing (banks, suppliers).
Ratio de endeudamiento (2024)
?
Ratio de endeudamiento
Definición
Mide la proporción de deuda respecto a los fondos propios.
Fórmula
(Deuda financiera / Fondos propios) x 100
Interpretación
< 50% : Faible 50-100% : Moderado > 100% : Alto
0.601%
Autonomía financiera (2024)
?
Autonomía financiera
Definición
Porcentaje de fondos propios en la financiación total.
Visualización creada con numbers.finance Sources : INPI & BCE - Ajustes : Ministère de l'Économie
Indicador
2020
2021
2022
2023
2024
Ratio de endeudamiento
9.591
0.046
0.14
0.297
0.601
Autonomía financiera
28.19
43.286
48.305
24.444
18.183
Capacidad de reembolso
None
None
None
None
None
Flujo de caja / Ingresos
None%
None%
None%
None%
None%
Positionnement sectoriel
Debt ratio
0.62024
2022
2023
2024
Q1: 1.2
Méd: 27.55
Q3: 86.61
Excellent
In 2024, the debt ratio of SAS TAD'AIX (0.60) ranks in the bottom 25% of the sector, which is positive. This ratio measures the weight of debt relative to equity. A low ratio indicates a solid financial structure with little dependence on creditors.
Financial autonomy
18.18%2024
2022
2023
2024
Q1: 15.62%
Méd: 35.91%
Q3: 57.37%
Average-40 pts durante 3 años
In 2024, the financial autonomy of SAS TAD'AIX (18.2%) ranks below the median of the sector. This ratio represents the share of equity in total financing. An improvement would strengthen the competitive position.
Ratios de liquidez
The liquidity ratio (= Current assets / Current liabilities) stands at 113.01. Concretely, the company has €2 of liquid assets for every €1 of short-term debt: no cash risk within 12 months.
Ratio de liquidez (2024)
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Ratio de liquidez
Definición
Capacidad para pagar las deudas a corto plazo con el activo circulante.
Fórmula
Activo circulante / Pasivo circulante
Interpretación
> 1.5 : Muy bueno 1-1.5 : Correcto < 1 : Risque de liquidité
113.013
Evolución de indicadores de liquidez SAS TAD'AIX
Visualisation créée via abddaf.fr Sources : INPI & BCE - Retraitements : Ministère de l'économie
Indicador
2020
2021
2022
2023
2024
Ratio de liquidez
144.064
192.627
191.793
131.501
113.013
Cobertura de intereses
None
None
None
None
None
Positionnement sectoriel
Liquidity ratio
113.012024
2022
2023
2024
Q1: 118.3
Méd: 194.63
Q3: 302.55
Watch-22 pts durante 3 años
In 2024, the liquidity ratio of SAS TAD'AIX (113.01) ranks in the bottom 25% of the sector. This ratio measures the ability to cover short-term debt with current assets. A ratio below 1 may signal potential cash flow tensions.
Positionnement de SAS TAD'AIX dans son secteur
Comparación con el sector Autres transports routiers de voyageurs
Similar companies (Autres transports routiers de voyageurs )
Compare SAS TAD'AIX with other companies in the same sector:
The revenue of SAS TAD'AIX is not publicly disclosed (confidential accounts filed with INPI).
Is SAS TAD'AIX profitable?
SAS TAD'AIX recorded a net loss in 2024.
Where is the headquarters of SAS TAD'AIX ?
The headquarters of SAS TAD'AIX is located in LE CANNET (06110), in the department Alpes-Maritimes.
Where to find the tax return of SAS TAD'AIX ?
The tax return of SAS TAD'AIX is available on this page. Click on a year in the 'Data by year' section to view the account details (assets, liabilities, income statement). Data comes from INPI (National Institute of Industrial Property).
In which sector does SAS TAD'AIX operate?
SAS TAD'AIX operates in the sector Autres transports routiers de voyageurs (NAF code 49.39B). See the 'Sector positioning' section above to compare the company with its competitors.
Item evolution
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