2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
€7,850-13.1% | €9,033+29.2% | €6,991+203.7% | €2,302 | |
€560,797+1.4% | €552,947+1.7% | €543,914+1.3% | €536,922 | |
€1,251-25.8% | €1,687-8.6% | €1,847-51.7% | €3,823 | |
€15,303+49.1% | €10,267+606.5% | €1,453-93.2% | €21,289 |
GUY DELFORGE.
BE 0428.807.108.
Naamloze vennootschap (NV) / Société anonyme (SA).
Corporate structure data isn't available for S.A. GUY DELFORGE right now.
S.A. GUY DELFORGE was founded on 23 Apr 1986, making it 40 years old.
Yes, S.A. GUY DELFORGE is currently active.
S.A. GUY DELFORGE's registered main activities are Manufacture of perfume and toilet preparations, Business and other management consultancy activities, Rental and operating of own or leased residential real estate, except social housing, and Manufacture of perfumes and toilet waters. It is also registered for 1 additional activity.
S.A. GUY DELFORGE's registered address is Quai de Meuse(JB) 30 box 9, 5100 Namur, Belgium.
S.A. GUY DELFORGE's most recently filed annual accounts (fiscal year ending 31 Dec 2025) reported a profit of €7,850.
S.A. GUY DELFORGE's most recently filed annual accounts cover the fiscal year ending 31 Dec 2025.
We have no B Corp certification on file for S.A. GUY DELFORGE.
No, S.A. GUY DELFORGE does not currently hold Fairtrade certification.
2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
| Income statement | ||||
€14,519-4.2% | €15,156+22% | €12,421+34.4% | €9,242 | |
€4,403 | — | €353-98.1% | €18,772 | |
€10,810-12.9% | €12,414+27.8% | €9,712+345.5% | €2,180 | |
€7,850-13.1% | €9,033+29.2% | €6,991+203.7% | €2,302 | |
€0-100% | €465-27% | €637-63.6% | €1,750 | |
| Profitability | ||||
1.4%-14.3% | 1.6%+27.1% | 1.3%+199.8% | 0.4% | |
1.4%-14.2% | 1.6%+27.1% | 1.3%+200.9% | 0.4% | |
| Solvency | ||||
€562,048+1.3% | €554,634+1.6% | €545,760+0.9% | €540,745 | |
€294,819+1.2% | €291,2970% | €291,297+0.1% | €291,010 | |
€2,4320% | €2,4320% | €2,4320% | €2,432 | |
€560,797+1.4% | €552,947+1.7% | €543,914+1.3% | €536,922 | |
99.8%+0.1% | 99.7%0% | 99.7%+0.4% | 99.3% | |
€1,251-25.8% | €1,687-8.6% | €1,847-51.7% | €3,823 | |
0.00-26.9% | 0.00-10.1% | 0.00-52.3% | 0.01 | |
| Liquidity | ||||
€15,303+49.1% | €10,267+606.5% | €1,453-93.2% | €21,289 | |
€1,251+2.4% | €1,222+1% | €1,209-41.7% | €2,073 | |
€1,251-25.8% | €1,687-8.6% | €1,847-51.7% | €3,823 | |
199.40+34.2% | 148.58+9.5% | 135.70+129.5% | 59.13 | |
€263,546+1.7% | €259,218+3.6% | €250,185+2.8% | €243,480 | |
| Profit appropriation | ||||
€60,0810% | €60,0810% | €60,0810% | €60,081 | |
€438,716+1.8% | €430,866+2.1% | €421,833+1.7% | €414,841 | |
Quai de Meuse(JB) 30 box 9, 5100 Namur, Belgium
Open in Google MapsShowing 1 of 1 locations.
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