Company dossier
Vlaamse Vervoermaatschappij - De Lijn
· Mechelen · Overheid van het Vlaamse Gewest en van de Vlaamse Gemeenschap · Personenvervoer over de weg volgens dienstregeling · since 1990
Biggest shifts
Over the years
Every concept across all years. Arrows = the jump versus the year before.
| 2023 | 2024 | 2025 | |
|---|---|---|---|
| Profit/loss of the year | € -29.1 million | ▲▲▲€ 233,045+101% | ▼▼€ 20,446-91% |
| Taxes | € 634,267 | € 697,711 | € 771,732 |
| Total debts | € 854.9 million | ▼€ 721.1 million-16% | € 748.7 million |
| Buffer (cash + investments) | € 961,295 | ▲▲▲€ 8.2 million+752% | ▼▼€ 178,139-98% |
Per filing
Download all (zip)2025 PDF ↗ filed 8 Jun 2026 · m02-f· 2026-00148468 Profit/loss of the year ▼91%Total debts ▲4%Equity ▲4%
| 2025 | 2024 | Δ | |
|---|---|---|---|
| Wage cost | € 625,387,856 | € 621,053,548 | +1% |
| Depreciation | € 175,652,854 | € 194,690,694 | -10% |
| Financial charges | € 25,902,393 | € 25,593,965 | +1% |
| Profit/loss of the year | € 20,446 | € 233,045 | -91% |
| Taxes | € 771,732 | € 697,711 | +11% |
| Balance sheet total | € 3,085,395,643 | € 2,978,096,023 | +4% |
| Equity | € 2,252,050,242 | € 2,161,826,384 | +4% |
| Total debts | € 748,707,099 | € 721,084,651 | +4% |
| Buffer (cash + investments) | € 178,139 | € 8,192,637 | -98% |
| Full-time equivalents | 7,637.1 | 7,675.4 | 0% |
2024 PDF ↗ filed 17 Jun 2025 · m02-f· 2025-00155773 Profit/loss of the year ▲101%Total debts ▼16%Full-time equivalents ▲1%Equity ▲4%
| 2024 | 2023 | Δ | |
|---|---|---|---|
| Wage cost | € 621,053,548 | € 594,018,794 | +5% |
| Depreciation | € 194,690,694 | € 183,340,457 | +6% |
| Financial charges | € 25,593,965 | € 25,847,013 | -1% |
| Profit/loss of the year | € 233,045 | € -29,149,836 | +101% |
| Taxes | € 697,711 | € 634,267 | +10% |
| Balance sheet total | € 2,978,096,023 | € 3,042,798,557 | -2% |
| Equity | € 2,161,826,384 | € 2,086,480,948 | +4% |
| Total debts | € 721,084,651 | € 854,944,663 | -16% |
| Buffer (cash + investments) | € 8,192,637 | € 961,295 | +752% |
| Full-time equivalents | 7,675.4 | 7,578.6 | +1% |
2023 PDF ↗ filed 4 Jun 2024 · m02-f· 2024-00122945 First annual accounts
| 2023 | |
|---|---|
| Wage cost | € 594,018,794 |
| Depreciation | € 183,340,457 |
| Financial charges | € 25,847,013 |
| Profit/loss of the year | € -29,149,836 |
| Taxes | € 634,267 |
| Balance sheet total | € 3,042,798,557 |
| Equity | € 2,086,480,948 |
| Total debts | € 854,944,663 |
| Buffer (cash + investments) | € 961,295 |
| Full-time equivalents | 7,578.6 |