2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
€14,406,383+11.1% | €12,971,317-5.8% | €13,771,551+29.1% | €10,670,382 | |
€946,712-1.7% | €963,229+157.1% | €374,657+80.1% | €208,091 | |
€4,547,060+26.3% | €3,600,347+10.2% | €3,267,118+13% | €2,892,461 | |
€2,319,227-25.6% | €3,115,649+63.7% | €1,903,408+9.3% | €1,741,281 | |
€2,269,418-2.4% | €2,324,327-5.8% | €2,467,789+17.2% | €2,105,146 | |
25.3-2.7% | 26-12.8% | 29.8-7.5% | 32.2 | |
€569,422+14.1% | €498,897+8% | €462,133+39.5% | €331,378 |
BOUWBEDRIJF WILLEMS & C°.
BE 0414.011.737.
Naamloze vennootschap (NV) / Société anonyme (SA).
Corporate structure data isn't available for Bouwbedrijf Willems & co NV right now.
Bouwbedrijf Willems & co NV was founded on 11 Mar 1974, making it 52 years old.
Yes, Bouwbedrijf Willems & co NV is currently active.
Bouwbedrijf Willems & co NV's registered main activities are General construction of residential buildings, General construction of other non-residential buildings, Joinery installation, Development of residential building projects, Floor and wall covering with tiles, Glazing, General coordination on the construction site, Installation of blinds and awnings, Rental and operating of own or leased residential real estate, except social housing, Buying and selling of own real estate, Interior and exterior painting of buildings, Construction of roads and motorways, Construction of bridges and tunnels, Manufacture of metal structures and parts of structures, Supervision of construction work (structural work, installation, finishing work, etc.), Construction of water supply, distribution and drainage networks, and Other specialised construction activities n.e.c..
Bouwbedrijf Willems & co NV's registered address is Nijverheidsstraat 26, 2260 Westerlo, Belgium.
Based on its most recently filed annual accounts (fiscal year ending 30 Sep 2025), Bouwbedrijf Willems & co NV reported 25.3 full-time equivalent employees.
Bouwbedrijf Willems & co NV's most recently filed annual turnover (fiscal year ending 30 Sep 2025) was €14,406,383.
Bouwbedrijf Willems & co NV's most recently filed annual accounts (fiscal year ending 30 Sep 2025) reported a profit of €946,712.
Bouwbedrijf Willems & co NV's most recently filed annual accounts cover the fiscal year ending 30 Sep 2025.
We have no B Corp certification on file for Bouwbedrijf Willems & co NV.
No, Bouwbedrijf Willems & co NV does not currently hold Fairtrade certification.
Nijverheidsstraat 26, 2260 Westerlo, Belgium
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2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
| Income statement | ||||
€14,406,383+11.1% | €12,971,317-5.8% | €13,771,551+29.1% | €10,670,382 | |
€1,985,219+3.3% | €1,922,654-6.9% | €2,065,745+2.4% | €2,016,486 | |
€1,197,614-4.5% | €1,254,576+164.8% | €473,833+41.4% | €335,058 | |
€1,394,798+1.6% | €1,372,638+155.2% | €537,893+46.5% | €367,157 | |
€993,896+6.7% | €931,291+222.6% | €288,717 | — | |
€946,712-1.7% | €963,229+157.1% | €374,657+80.1% | €208,091 | |
€24,250-88.1% | €204,609>1000% | €3,089-69.6% | €10,169 | |
| Profitability | ||||
9.7%-8.5% | 10.6%+170.9% | 3.9%+13.5% | 3.4% | |
6.6%-11.5% | 7.4%+173% | 2.7%+39.5% | 2.0% | |
20.8%-22.2% | 26.8%+133.3% | 11.5%+59.4% | 7.2% | |
12.6%-1.7% | 12.8%+109.5% | 6.1%+68.7% | 3.6% | |
| Solvency | ||||
€7,536,2870% | €7,535,996+22.7% | €6,140,526+6.7% | €5,753,742 | |
€792,946+13.7% | €697,353+65.4% | €421,630+133.3% | €180,712 | |
€175,276+1.9% | €171,976+0.4% | €171,226+37.5% | €124,561 | |
€4,547,060+26.3% | €3,600,347+10.2% | €3,267,118+13% | €2,892,461 | |
60.3%+26.3% | 47.8%-10.2% | 53.2%+5.8% | 50.3% | |
€206,264-14.4% | €240,996 | — | — | |
0.05-32.2% | 0.07 | — | — | |
€2,319,227-25.6% | €3,115,649+63.7% | €1,903,408+9.3% | €1,741,281 | |
0.51-41.1% | 0.87+48.5% | 0.58-3.2% | 0.60 | |
30.87-54.2% | 67.47+138.7% | 28.27-1.5% | 28.70 | |
| Liquidity | ||||
€2,269,418-2.4% | €2,324,327-5.8% | €2,467,789+17.2% | €2,105,146 | |
€80,0320% | €80,0320% | €80,032-49.5% | €158,407 | |
€960,676-37.3% | €1,532,436-28.9% | €2,154,672-10.1% | €2,396,504 | |
€1,851,775+2.3% | €1,810,151+4.9% | €1,725,290+9.5% | €1,575,051 | |
€2,112,963-26.5% | €2,874,653+51% | €1,903,408+9.6% | €1,736,408 | |
2.03+53.3% | 1.33-1% | 1.34-30.2% | 1.92 | |
€4,455,103+36.5% | €3,263,886+4.7% | €3,116,133-15.9% | €3,707,188 | |
| Efficiency | ||||
24 days-43.5% | 43 days-24.5% | 57 days-30.3% | 82 days | |
60 days-10.4% | 67 days+21.5% | 55 days-27.1% | 75 days | |
3 days-12.4% | 3 days+16.9% | 3 days-68.3% | 9 days | |
120.36+14% | 105.54+27.5% | 82.76+576.1% | 12.24 | |
| Profit appropriation | ||||
€0-100% | €630,000 | — | — | |
€4,062,122+32.7% | €3,062,122+36.9% | €2,237,1220% | €2,237,122 | |
€37,937-58.4% | €91,225-84.3% | €582,996+179.8% | €208,338 | |
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