2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
€178,823+42.2% | €125,740+2.9% | €122,172-12.3% | €139,349 | |
€1,087,240+19.7% | €908,417+16.1% | €782,678+18.5% | €660,506 | |
€461,176+11.2% | €414,707-11.5% | €468,511-18.7% | €575,959 | |
€182,944+91% | €95,765+18.9% | €80,516-21.6% | €102,736 | |
2.2+10% | 2+33.3% | 1.5-25% | 2 |
CAFERMI.
BE 0450.299.437.
Besloten Vennootschap (BV) / Société à responsabilité limitée (SRL).
Corporate structure data isn't available for CAFERMI right now.
CAFERMI was founded on 21 Jun 1993, making it 33 years old.
Yes, CAFERMI is currently active.
CAFERMI's registered main activities are Retail sale of other food n.e.c., Retail sale of bread, cake and confectionery (bread shops), Retail sale of beverages, general selection, Non-specialised retail sale of predominately food, beverages or tobacco, Other non-specialised retail sale, Processing of tea and coffee, and Warehousing and storage.
CAFERMI's registered address is Rue de Bouillon 54, 5555 Bièvre, Belgium.
Based on its most recently filed annual accounts (fiscal year ending 31 Dec 2025), CAFERMI reported 2.2 full-time equivalent employees.
CAFERMI's most recently filed annual accounts (fiscal year ending 31 Dec 2025) reported a profit of €178,823.
CAFERMI's most recently filed annual accounts cover the fiscal year ending 31 Dec 2025.
We have no B Corp certification on file for CAFERMI.
No, CAFERMI does not currently hold Fairtrade certification.
Rue de Bouillon 54, 5555 Bièvre, Belgium
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2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
| Income statement | ||||
€463,417+4% | €445,512+36.6% | €326,061-10% | €362,460 | |
€117,166+16.3% | €100,779+34.5% | €74,932-15.6% | €88,797 | |
€61,956-13.1% | €71,274+7.4% | €66,352-15.7% | €78,730 | |
€265,143+42.2% | €186,512+7.2% | €173,968-16.5% | €208,274 | |
€178,823+42.2% | €125,740+2.9% | €122,172-12.3% | €139,349 | |
€99,900+34.1% | €74,499+35.7% | €54,895-54.4% | €120,328 | |
| Profitability | ||||
16.4%+18.8% | 13.8%-11.3% | 15.6%-26% | 21.1% | |
11.5%+21.5% | 9.5%-2.7% | 9.8%-13.4% | 11.3% | |
| Solvency | ||||
€1,548,416+17% | €1,323,125+5.8% | €1,251,189+1.2% | €1,236,465 | |
€466,462-1.6% | €474,195-13.9% | €550,949+0.7% | €547,294 | |
€1,087,240+19.7% | €908,417+16.1% | €782,678+18.5% | €660,506 | |
70.2%+2.3% | 68.7%+9.8% | 62.6%+17.1% | 53.4% | |
€221,845-6.1% | €236,313-14.4% | €276,109-5.5% | €292,070 | |
0.20-21.6% | 0.26-26.3% | 0.35-20.2% | 0.44 | |
€461,176+11.2% | €414,707-11.5% | €468,511-18.7% | €575,959 | |
0.42-7.1% | 0.46-23.7% | 0.60-31.3% | 0.87 | |
| Liquidity | ||||
€182,944+91% | €95,765+18.9% | €80,516-21.6% | €102,736 | |
€701,541+20.1% | €583,969+28.8% | €453,274+3.7% | €436,985 | |
€175,754+17.4% | €149,693-6.2% | €159,573+10.9% | €143,934 | |
€27,003>1000% | €2,183-92.1% | €27,577-54.3% | €60,351 | |
€239,331+34.2% | €178,395-7.3% | €192,403-32.2% | €283,889 | |
3.76-11% | 4.22+31.1% | 3.22+55.9% | 2.07 | |
€842,623+25.7% | €670,535+32% | €507,838+25.3% | €405,282 | |
| Profit appropriation | ||||
— | — | — | €10,000 | |
€665,859+31.6% | €505,859+31.1% | €385,859+44.6% | €266,859 | |
€402,781+4.9% | €383,958+1.5% | €378,219+0.9% | €375,047 | |
CHAUD DIFFUSION
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2005
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PRALINES LEONIDAS
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1997
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