2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
€19,949,693-4.4% | €20,866,921-20.4% | €26,214,573-29.3% | €37,086,350 | |
€30,030-97.1% | €1,028,936-48% | €1,980,303-18.2% | €2,421,269 | |
€4,845,271-40.4% | €8,135,242+14.5% | €7,106,306-65% | €20,326,002 | |
€5,354,871+382.5% | €1,109,741-93.6% | €17,472,629+498.1% | €2,921,415 | |
€2,186,545-25.4% | €2,931,026-19% | €3,617,787-6.2% | €3,858,450 | |
61.4-2.4% | 62.9-5.3% | 66.4+2.2% | 65 | |
€324,914-2.1% | €331,748-16% | €394,798-30.8% | €570,559 |
KEM - PRODUCTS.
BE 0448.483.062.
Naamloze vennootschap (NV) / Société anonyme (SA).
Corporate structure data isn't available for KEMISOL right now.
KEMISOL was founded on 05 Nov 1992, making it 33 years old.
Yes, KEMISOL is currently active.
KEMISOL's registered main activities are Manufacture of plastics in primary forms, Manufacture of other non-metallic mineral products n.e.c., Weaving of textiles, Wholesale trade of joinery and wooden building closures, Manufacture of semi-finished plastic products: plates, sheets, blocks, film, foil, strips, etc., and Operation of major maintenance of buildings. It is also registered for 1 additional activity.
KEMISOL's registered address is Hulshoutsesteenweg 33, 2220 Heist-op-den-Berg, Belgium.
Based on its most recently filed annual accounts (fiscal year ending 31 Dec 2025), KEMISOL reported 61.4 full-time equivalent employees.
KEMISOL's most recently filed annual turnover (fiscal year ending 31 Dec 2025) was €19,949,693.
KEMISOL's most recently filed annual accounts (fiscal year ending 31 Dec 2025) reported a profit of €30,030.
KEMISOL's most recently filed annual accounts cover the fiscal year ending 31 Dec 2025.
We have no B Corp certification on file for KEMISOL.
No, KEMISOL does not currently hold Fairtrade certification.
Hulshoutsesteenweg 33, 2220 Heist-op-den-Berg, Belgium
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2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
| Income statement | ||||
€19,949,693-4.4% | €20,866,921-20.4% | €26,214,573-29.3% | €37,086,350 | |
€4,314,548+11.2% | €3,880,344-2.2% | €3,968,483-3.4% | €4,109,842 | |
€59,089-91% | €656,487-67.8% | €2,039,930-34.2% | €3,099,622 | |
— | €710,995 | — | €3,160,425 | |
€30,030-97.1% | €1,028,936-48% | €1,980,303-18.2% | €2,421,269 | |
€201,880+11.6% | €180,864-25.6% | €242,952+6.1% | €228,911 | |
| Profitability | ||||
— | 3.4% | — | 8.5% | |
0.2%-96.9% | 4.9%-34.7% | 7.6%+15.7% | 6.5% | |
0.6%-95.1% | 12.6%-54.6% | 27.9%+133.9% | 11.9% | |
0.3%-97.3% | 11.1%+38.1% | 8.1%-22.6% | 10.4% | |
| Solvency | ||||
€10,200,142+10.3% | €9,244,983-62.4% | €24,578,934+5.7% | €23,247,417 | |
€123,150+22.8% | €100,306-35.4% | €155,381-8.3% | €169,403 | |
— | — | €14,620,000+31.5% | €11,120,000 | |
€4,845,271-40.4% | €8,135,242+14.5% | €7,106,306-65% | €20,326,002 | |
47.5%-46% | 88.0%+204.4% | 28.9%-66.9% | 87.4% | |
€5,354,871+382.5% | €1,109,741-93.6% | €17,472,629+498.1% | €2,921,415 | |
1.11+710.2% | 0.14-94.4% | 2.46>1000% | 0.14 | |
4.58-96.1% | 117.44-84.5% | 758.94+523.5% | 121.72 | |
| Liquidity | ||||
€2,186,545-25.4% | €2,931,026-19% | €3,617,787-6.2% | €3,858,450 | |
€2,550,949+3% | €2,477,705-27.8% | €3,430,417-20.5% | €4,312,987 | |
€2,805,324+3.9% | €2,700,227+0.9% | €2,676,450-24.3% | €3,535,678 | |
€1,264,592+158.9% | €488,487-13.3% | €563,213-44.7% | €1,018,298 | |
€5,354,871+382.5% | €1,109,741-93.6% | €17,472,629+498.1% | €2,921,415 | |
1.47-73.7% | 5.60>1000% | 0.35-87.2% | 2.77 | |
€4,722,121-41.2% | €8,034,936+204.8% | -€7,669,075-184.9% | €9,036,600 | |
| Efficiency | ||||
51 days+8.7% | 47 days+26.7% | 37 days+7.1% | 35 days | |
30 days+170.9% | 11 days+7% | 10 days-18.1% | 12 days | |
89 days+10.8% | 80 days-5.7% | 85 days+24.9% | 68 days | |
4.17+9.2% | 3.82+0.5% | 3.80-33.6% | 5.72 | |
| Profit appropriation | ||||
€3,320,000 | — | €15,200,000>1000% | €1,000,000 | |
€4,745,271-40.9% | €8,035,242+14.7% | €7,006,306-65.4% | €20,226,002 | |
IMERYS MINERAUX BELGIQUE
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