2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
€9,375,541+2.6% | €9,136,916-16.2% | €10,905,341-3.3% | €11,279,430 | |
-€1,047,640-154.3% | €1,930,560+727.5% | -€307,647+77.4% | -€1,361,996 | |
€3,813,494-21.5% | €4,861,134+65.9% | €2,930,574>1000% | €238,221 | |
€18,007,178+17.2% | €15,365,582-34% | €23,290,897+132.3% | €10,026,369 | |
€41,768-64.7% | €118,195+51.6% | €77,990+29.4% | €60,287 | |
58.6-12.5% | 67-6.4% | 71.6+1.7% | 70.4 | |
€159,992+17.3% | €136,372-10.5% | €152,309-4.9% | €160,219 |
FREMACH IZEGEM.
BE 0431.601.203.
Naamloze vennootschap (NV) / Société anonyme (SA).
Corporate structure data isn't available for STRUCTUPLAS right now.
STRUCTUPLAS was founded on 13 Jul 1987, making it 39 years old.
Yes, STRUCTUPLAS is currently active.
STRUCTUPLAS's registered main activities are Manufacture of other parts and accessories for motor vehicles, Manufacture of plastic plates, sheets, tubes and profiles, Wholesale trade of wood products, wicker and cork, and Tax declarations for individuals and businesses.
STRUCTUPLAS's registered address is Oude Iepersestraat 107, 8870 Izegem, Belgium.
Based on its most recently filed annual accounts (fiscal year ending 31 Dec 2025), STRUCTUPLAS reported 58.6 full-time equivalent employees.
STRUCTUPLAS's most recently filed annual turnover (fiscal year ending 31 Dec 2025) was €9,375,541.
STRUCTUPLAS's most recently filed annual accounts (fiscal year ending 31 Dec 2025) reported a loss of €1,047,640.
STRUCTUPLAS's most recently filed annual accounts cover the fiscal year ending 31 Dec 2025.
We have no B Corp certification on file for STRUCTUPLAS.
No, STRUCTUPLAS does not currently hold Fairtrade certification.
Oude Iepersestraat 107, 8870 Izegem, Belgium
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2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
| Income statement | ||||
€9,375,541+2.6% | €9,136,916-16.2% | €10,905,341-3.3% | €11,279,430 | |
€3,330,472-11.9% | €3,781,816+2.9% | €3,676,526+6.3% | €3,457,391 | |
-€1,129,340+42.7% | -€1,970,267-56.5% | -€1,259,192-4.6% | -€1,203,400 | |
-€8,071+99% | -€807,042-356% | -€176,962+26.2% | -€239,648 | |
— | €3,063,234+323% | €724,201+313.9% | -€338,552 | |
-€1,047,640-154.3% | €1,930,560+727.5% | -€307,647+77.4% | -€1,361,996 | |
€68,028-5.1% | €71,693-1.4% | €72,687+1% | €71,978 | |
| Profitability | ||||
-0.1%+99% | -8.8%-444.3% | -1.6%+23.6% | -2.1% | |
-11.2%-152.9% | 21.1%+849% | -2.8%+76.6% | -12.1% | |
-27.5%-169.2% | 39.7%+478.3% | -10.5%+98.2% | -571.7% | |
-4.8%-150.3% | 9.5%+914.2% | -1.2%+91.1% | -13.1% | |
| Solvency | ||||
€21,846,672+7.9% | €20,252,716-22.9% | €26,278,022+153.4% | €10,371,523 | |
€3,864,029-13.5% | €4,466,242-5.7% | €4,738,123-8.6% | €5,184,894 | |
€12,103,319>1000% | €25,000-5.7% | €26,500+6% | €25,000 | |
€3,813,494-21.5% | €4,861,134+65.9% | €2,930,574>1000% | €238,221 | |
17.5%-27.3% | 24.0%+115.2% | 11.2%+385.5% | 2.3% | |
€25,368-87.6% | €204,894-65.7% | €596,880-41.2% | €1,014,833 | |
0.01-84.2% | 0.04-79.3% | 0.20-95.2% | 4.26 | |
€18,007,178+17.2% | €15,365,582-34% | €23,290,897+132.3% | €10,026,369 | |
4.72+49.4% | 3.16-60.2% | 7.95-81.1% | 42.09 | |
-1.74-11% | -1.57-14.5% | -1.37+82% | -7.60 | |
| Liquidity | ||||
€41,768-64.7% | €118,195+51.6% | €77,990+29.4% | €60,287 | |
€2,698,769+61.7% | €1,669,183+16.9% | €1,427,939-9.5% | €1,577,353 | |
€2,969,768+20.4% | €2,467,710-30.4% | €3,546,710+17.1% | €3,027,684 | |
€1,083,273-35.2% | €1,671,730+21.5% | €1,375,404-10.4% | €1,534,401 | |
€17,975,921+18.6% | €15,153,946-33.2% | €22,684,466+151.7% | €9,011,536 | |
0.32-68.8% | 1.03+9.2% | 0.94+68.1% | 0.56 | |
-€12,160,149<-1000% | €562,865+146.3% | -€1,215,809+68.8% | -€3,894,644 | |
| Efficiency | ||||
116 days+17.3% | 99 days-17% | 119 days+21.2% | 98 days | |
59 days-39.3% | 98 days+55.9% | 63 days-8.3% | 68 days | |
229 days+51.9% | 151 days+54.1% | 98 days-17.2% | 118 days | |
1.97-24.5% | 2.61-26.3% | 3.54+3.2% | 3.43 | |
| Profit appropriation | ||||
€6,7510% | €6,7510% | €6,7510% | €6,751 | |
-€1,342,111-355.8% | -€294,471+86.8% | -€2,225,031-16% | -€1,917,384 | |
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