2025 | 2024 | |
|---|---|---|
€112,301,975+2.4% | €109,700,181 | |
€16,027,345+12% | €14,313,876 | |
€228,939,840+7.5% | €212,912,495 | |
€38,497,227-29.1% | €54,334,310 | |
€360,190-18.9% | €443,974 | |
177.5+4.8% | 169.4 | |
€632,687-2.3% | €647,581 |
HOGANAS BELGIUM.
BE 0422.056.601.
Naamloze vennootschap (NV) / Société anonyme (SA).
Corporate structure data isn't available for HOGANAS BELGIUM right now.
HOGANAS BELGIUM was founded on 30 Oct 1981, making it 44 years old.
Yes, HOGANAS BELGIUM is currently active.
HOGANAS BELGIUM's registered main activities are Other non-ferrous metal production, Wholesale trade of solid, liquid and gaseous fuels, Other activities auxiliary to financial services n.e.c., except insurance and pension funding, Manufacture of basic iron and steel and of ferro-alloys, Casting of finished or semi-finished iron products, Manufacture of preparations for perfuming or deodorising rooms, Manufacture of machines and equipment for handling hot metals: converters, ingot moulds, ladles, casting machines, and Activities of holding companies.
HOGANAS BELGIUM's registered address is Ruelle Gros Pierre 10, 7800 Ath, Belgium.
Based on its most recently filed annual accounts (fiscal year ending 31 Dec 2025), HOGANAS BELGIUM reported 177.5 full-time equivalent employees.
HOGANAS BELGIUM's most recently filed annual turnover (fiscal year ending 31 Dec 2025) was €112,301,975.
HOGANAS BELGIUM's most recently filed annual accounts (fiscal year ending 31 Dec 2025) reported a profit of €16,027,345.
HOGANAS BELGIUM's most recently filed annual accounts cover the fiscal year ending 31 Dec 2025.
We have no B Corp certification on file for HOGANAS BELGIUM.
No, HOGANAS BELGIUM does not currently hold Fairtrade certification.
Ruelle Gros Pierre 10, 7800 Ath, Belgium
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2025 | 2024 | |
|---|---|---|
| Income statement | ||
€112,301,975+2.4% | €109,700,181 | |
€14,785,013+2.4% | €14,432,232 | |
€11,770,589+78.6% | €6,590,488 | |
€14,171,190+63.6% | €8,661,001 | |
€18,406,020+11.9% | €16,451,416 | |
€16,027,345+12% | €14,313,876 | |
€454,708-61.1% | €1,169,500 | |
| Profitability | ||
12.6%+59.8% | 7.9% | |
14.3%+9.4% | 13.0% | |
7.0%+4.1% | 6.7% | |
6.0%+11.9% | 5.4% | |
| Solvency | ||
€267,488,983+0.1% | €267,320,647 | |
€23,789,475+0.2% | €23,736,887 | |
€173,601,031-0.7% | €174,878,912 | |
€228,939,840+7.5% | €212,912,495 | |
85.6%+7.5% | 79.6% | |
€38,497,227-29.1% | €54,334,310 | |
0.17-34.1% | 0.26 | |
606.45+80.5% | 336.01 | |
| Liquidity | ||
€360,190-18.9% | €443,974 | |
€41,740,799+15.7% | €36,074,080 | |
€15,323,324+6.6% | €14,376,886 | |
€13,971,677+3.6% | €13,484,349 | |
€16,753,023-0.4% | €16,819,265 | |
1.81+44.2% | 1.26 | |
€31,601,250+119.9% | €14,370,539 | |
| Efficiency | ||
50 days+4.1% | 48 days | |
59 days-0.5% | 59 days | |
237 days+11.3% | 213 days | |
1.65 | — | |
| Profit appropriation | ||
€11,642,6830% | €11,642,683 | |
€109,105,737+17.2% | €93,078,392 | |
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