2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
-€22,510<-1000% | €1,621+103.6% | -€44,745-88.9% | -€23,682 | |
-€5,485-132.2% | €17,025+10.5% | €15,404-74.4% | €60,150 | |
€55,020-18.7% | €67,655+5.6% | €64,093-14.1% | €74,633 | |
€27,151-60.6% | €68,921+40.9% | €48,903-58.3% | €117,149 |
DATIF TEX.
BE 0400.464.696.
Besloten Vennootschap (BV) / Société à responsabilité limitée (SRL).
DATIF TEX was founded on 08 Sep 1952, making it 74 years old.
Yes, DATIF TEX is currently active.
DATIF TEX's registered main activities are Computer programming activities, Retail sale of information and communication equipment, Retail sale of clothing, underwear and clothing accessories for men, women, children and baby, general selection, Other forms of education, Other liberal professions and professional, scientific and technical activities n.e.c., Wired, wireless, and satellite telecommunication activities, Activities of agents involved in non-specialised wholesale, Computing infrastructure, data processing, hosting and related activities, Other technical testing and analysis activities, Retail sale of footwear, Commission trade of miscellaneous products, Repair and maintenance of computers and communication equipment, Rental and leasing of office machinery, equipment and computers, Wholesale of measuring, testing and navigating equipment, Web search portal activities, Other software publishing, Publishing of video games, Business and other management consultancy activities, Other non-specialised retail sale, Activities of agents involved in the wholesale of furniture, household goods, hardware and ironmongery, Advising users on the type and configuration of computer hardware and software applications, Telecommunication reselling activities and intermediation service activities for telecommunication, Retail trade of radio equipment and television equipment and other audio / video home use such as VCRs, camcorders, hi-fi equipment, etc., Renting and leasing of office machines and equipment, without operator: computers, computer machinery and equipment, duplicators, photocopiers, typewriters and word processors, etc., Accounting consultancy and organisation of accounting services for third parties, Advice and operational assistance to companies in the fields of public relations and communication, Investment advice and management of third party financial assets (Royal Decree of 5 August 1991 relating to asset management and investment advice), Maintenance and repair of computers and peripheral equipment, Graphic design and visual communication activities, Other information technology and computer service activities, Rental and leasing of measuring and control equipment, without operator, Holding management activities: intervention in day-to-day management, representation of companies on the basis of ownership or control of the share capital, etc., Other graphic activities, Public relations and communication activities, Retail trade of computers and packaged software, Computer consultancy and computer facilities management activities, and Wholesale of information and communication equipment.
DATIF TEX's registered address is Sint Huybrechtstraat 44, 1785 Merchtem, Belgium.
DATIF TEX's most recently filed annual accounts (fiscal year ending 31 Dec 2025) reported a loss of €22,510.
DATIF TEX's most recently filed annual accounts cover the fiscal year ending 31 Dec 2025.
We have no B Corp certification on file for DATIF TEX.
No, DATIF TEX does not currently hold Fairtrade certification.
Corporate structure data isn't available for DATIF TEX right now.
Sint Huybrechtstraat 44, 1785 Merchtem, Belgium
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2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
| Income statement | ||||
-€20,206-327.9% | €8,868+125.6% | -€34,623-90.6% | -€18,164 | |
€821-80.1% | €4,123-45.9% | €7,621+166.9% | €2,856 | |
— | — | €3,173 | — | |
-€22,370<-1000% | €2,426+105.5% | -€44,371-90.3% | -€23,315 | |
-€22,510<-1000% | €1,621+103.6% | -€44,745-88.9% | -€23,682 | |
€3,706+16.1% | €3,191 | — | — | |
| Profitability | ||||
410.4%>1000% | 9.5%+103.3% | -290.5%-637.8% | -39.4% | |
-45.4%<-1000% | 1.9%+103.4% | -56.3%-220.3% | -17.6% | |
| Solvency | ||||
€49,535-41.5% | €84,680+6.5% | €79,497-41% | €134,783 | |
€2,022-39.9% | €3,365-40.8% | €5,684+22.6% | €4,638 | |
-€5,485-132.2% | €17,025+10.5% | €15,404-74.4% | €60,150 | |
-11.1%-155.1% | 20.1%+3.8% | 19.4%-56.6% | 44.6% | |
€55,020-18.7% | €67,655+5.6% | €64,093-14.1% | €74,633 | |
-10.03-352.4% | 3.97-4.5% | 4.16+235.3% | 1.24 | |
| Liquidity | ||||
€27,151-60.6% | €68,921+40.9% | €48,903-58.3% | €117,149 | |
€5,214-46.9% | €9,811-52.6% | €20,717+127.1% | €9,122 | |
€15,148+486.5% | €2,583-23.2% | €3,365+15.8% | €2,906 | |
€736-22.5% | €949 | — | — | |
€55,020-18.7% | €67,655+5.6% | €64,093-14.1% | €74,633 | |
0.37+102% | 0.18-52.9% | 0.39+123.2% | 0.17 | |
-€7,507-155% | €13,660+40.5% | €9,720-82.5% | €55,512 | |
| Profit appropriation | ||||
€29,4950% | €29,4950% | €29,4950% | €29,495 | |
-€42,417-113.1% | -€19,907+7.5% | -€21,528-192.7% | €23,217 | |
KRUIDVAT
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