2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
€19,431,340-6.4% | €20,762,612-19.6% | €25,827,372+13.2% | €22,815,932 | |
-€45,240-103.8% | €1,174,081+170.6% | €433,823+84.7% | €234,826 | |
€6,013,641-11.4% | €6,785,576+2.2% | €6,640,823+6.5% | €6,237,574 | |
€14,454,084+0.6% | €14,371,436-18.6% | €17,658,778+21.3% | €14,563,201 | |
€170,599-47.8% | €326,603-47.2% | €618,966+28.4% | €482,257 | |
41.5-8.2% | 45.2-4% | 47.1-2.1% | 48.1 | |
€468,225+1.9% | €459,350-16.2% | €548,352+15.6% | €474,344 |
Services et Matériels.
BE 0414.755.865.
Naamloze vennootschap (NV) / Société anonyme (SA).
Services et Matériels was founded on 10 Jan 1975, making it 51 years old.
Yes, Services et Matériels is currently active.
Services et Matériels's registered main activities are Rental and leasing of construction and civil engineering machinery and equipment, Retail sale of cars and light motor vehicles (<= 3,5 tons), Wholesale of mining, construction and civil engineering machinery, Repair and maintenance of personal and household goods n.e.c., Construction of roads and motorways, Retail sale of hardware, building materials, paints and glass (general selection), Earthworks: excavation, landfill, levelling of construction sites, trench digging, rock removal, blasting, etc., Construction of road and rail tunnels and other underground passages, Demolition, Wholesale of wiring devices, including installation equipment, Rental of construction equipment with operator, Installation of back-up power systems (generators), Rental and leasing of machinery and equipment for construction and civil engineering, without operator (cranes, bulldozers, cement mixers, etc.), Site preparation, and Landscape service activities.
Services et Matériels's registered address is Rue Ernest-Solvay 208, 4000 Liège, Belgium.
Based on its most recently filed annual accounts (fiscal year ending 31 Dec 2025), Services et Matériels reported 41.5 full-time equivalent employees.
Services et Matériels's most recently filed annual turnover (fiscal year ending 31 Dec 2025) was €19,431,340.
Services et Matériels's most recently filed annual accounts (fiscal year ending 31 Dec 2025) reported a loss of €45,240.
Services et Matériels's most recently filed annual accounts cover the fiscal year ending 31 Dec 2025.
We have no B Corp certification on file for Services et Matériels.
No, Services et Matériels does not currently hold Fairtrade certification.
Corporate structure data isn't available for Services et Matériels right now.
Rue Ernest-Solvay 208, 4000 Liège, Belgium
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2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
| Income statement | ||||
€19,431,340-6.4% | €20,762,612-19.6% | €25,827,372+13.2% | €22,815,932 | |
€3,363,405+2.4% | €3,285,722-6.9% | €3,527,863+7.6% | €3,279,986 | |
-€454,659-229.1% | €352,078-63.5% | €964,754+113.3% | €452,233 | |
€710,658-48.1% | €1,369,678-35.1% | €2,109,100+43.7% | €1,467,726 | |
-€45,240-103.8% | €1,174,081+170.6% | €433,823+84.7% | €234,826 | |
€274,155+32.1% | €207,551-70.3% | €698,703+40.1% | €498,643 | |
| Profitability | ||||
3.7%-44.6% | 6.6%-19.2% | 8.2%+26.9% | 6.4% | |
-0.2%-104.1% | 5.7%+236.7% | 1.7%+63.2% | 1.0% | |
-0.8%-104.3% | 17.3%+164.9% | 6.5%+73.5% | 3.8% | |
-0.2%-104% | 5.5%+210.1% | 1.8%+58.1% | 1.1% | |
| Solvency | ||||
€20,664,564-3.2% | €21,342,066-12.7% | €24,453,867+16.8% | €20,930,755 | |
€4,986,614-9.4% | €5,502,872+3.7% | €5,305,561-0.7% | €5,341,533 | |
€5,181,017-4.6% | €5,431,017-4.4% | €5,681,017+65.6% | €3,429,797 | |
€6,013,641-11.4% | €6,785,576+2.2% | €6,640,823+6.5% | €6,237,574 | |
29.1%-8.5% | 31.8%+17.1% | 27.2%-8.9% | 29.8% | |
€3,424,205-19.6% | €4,258,306+3.6% | €4,111,527+70% | €2,418,965 | |
0.57-9.3% | 0.63+1.4% | 0.62+59.7% | 0.39 | |
€14,454,084+0.6% | €14,371,436-18.6% | €17,658,778+21.3% | €14,563,201 | |
2.40+13.5% | 2.12-20.3% | 2.66+13.9% | 2.33 | |
-1.18-261.6% | 0.73-65.4% | 2.11-34.5% | 3.22 | |
| Liquidity | ||||
€170,599-47.8% | €326,603-47.2% | €618,966+28.4% | €482,257 | |
€4,910,314-10.1% | €5,459,718-20.9% | €6,898,683+1.2% | €6,816,370 | |
€4,422,293+24.2% | €3,560,702-23% | €4,623,379+12.6% | €4,105,263 | |
€2,722,761+6.7% | €2,551,159-31.4% | €3,718,733-5.3% | €3,928,635 | |
€11,023,460+9.1% | €10,106,312-25.3% | €13,532,400+11.5% | €12,136,767 | |
0.92-5.4% | 0.97+4.8% | 0.93-2.4% | 0.95 | |
-€719,731<-1000% | €38,254+110.4% | -€367,798-206.5% | -€120,016 | |
| Efficiency | ||||
83 days+32.7% | 63 days-4.2% | 65 days-0.5% | 66 days | |
56 days+12% | 50 days-16.1% | 60 days-17.9% | 72 days | |
161 days-7.4% | 174 days+11.1% | 157 days-15.1% | 185 days | |
2.15+16.2% | 1.85-21.3% | 2.35-2.9% | 2.42 | |
| Profit appropriation | ||||
€700,000-30% | €1,000,250 | — | — | |
€4,792,180-13.4% | €5,536,826+5.2% | €5,264,707+74.6% | €3,014,624 | |
€1,769-25.1% | €2,363-97.6% | €100,652-94.7% | €1,916,911 | |
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