TESSENDERLO CHEMIE
| WVB Number : BEL000090261 | Country : Kingdom of Belgium |
| SIC categorization : CHEMICALS & ALLIED PRODUCTS (2800) | ISIN : BE0003555639 |
| FT categorization : CHEMICALS-DIVERSIFIED (622) | |
| Company status: ACTIVE |
» Corporation Profile :
| Profile in brief: The Company's main areas of activities are inorganic chemicals, fine chemicals, PVC, plastics converting and natural organic products. The Company is one of the world leaders in manufacturing and marketing chemical products, plastics and gelatins. The Company's sales include the following : - chemical products : liquid sulfur fertilizers, potassium sulfates, sodium sulfurs, zeolites (used in producing cleaning powders), electrolysis products (chlorines, sodas, and caustic potashes), PVC (monomer vinyl chlorides, polyvinyl chloride); - plastic products : PVC profiles, tubes and connectors for plumbing, irrigation, and gas transportation, PVC and thermoplastic elastomer mixtures for the construction, automotive, shoe production, and other sectors; - specialty products : animal fats and meals, food additives, fine chemicals (benzenes, chlorinated and derived toluenes), pharmaceutical intermediates, glycines and gelatins. |
|
| Phone : 32 2 639 18 11 | Fax : 13 66 81 40 |
| Chairman: : GERARD MARCHAND | Auditor : KLYNVELD PEAT MARWICK GOERDELER REVISEURS D' ENTREPRISES |
| CEO/Managing Director : GERARD MARCHAND | |
» Company Facts
| Net Profit Margin (%) | -4.49 |
| Operating Margin (%) | 5.86 |
| Return on Assets (%) | -6.21 |
| Return on Equity (%) | -14.41 |
| Employees | N/A |
» Company Financials
| Annual (2011) | |
| Income Statement ('000 EUR ) |
|
| Sales/Total Revenue | 2,126,000 |
| EBITDA | 199,200 |
| EBIT | 115,600 |
| Net Income | -95,500 |
| Balance Sheet ( '000 EUR) |
|
| Total Current Assets | 676,600 |
| Total Assets | 1,379,700 |
| Current Liabilities | 466,100 |
| Total Liabilities & Debt | 779,400 |
| Total Equity | 600,300 |
| Cash & Flow ( '000 EUR) |
|
| Net Income/Staring Line | -95,600 |
| Cash from Operating | 95,500 |
| Cash from Investing | 25,700 |
| Cash from Financing | -104,500 |
| Cash & Equivalent Yr End | 34,900 |



