2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
€461,658+438.4% | €85,749+66.7% | €51,443-92.7% | €701,453 | |
€2,766,763+20.5% | €2,295,720+3.9% | €2,209,972-4.9% | €2,323,668 | |
€13,000,380-14.6% | €15,218,999+15.9% | €13,136,790+104.8% | €6,414,117 | |
€161,634-88.8% | €1,446,174+316.4% | €347,320-77.4% | €1,534,430 |
SPETSAI.
BE 0461.141.958.
Naamloze vennootschap (NV) / Société anonyme (SA).
Corporate structure data isn't available for SPETSAI right now.
SPETSAI was founded on 14 Jul 1997, making it 29 years old.
Yes, SPETSAI is currently active.
SPETSAI's registered main activities are Retail sale of cultural and recreational goods n.e.c., Historical site and monument activities, General coordination on the construction site, Retail sale in specialised stores or in commercial art galleries of works of art under 50 years old with a selling price equal to or greater than 10,000 euros, Architectural consultancy activities to the principal, Retail trade of antiquities and ancient art, and Supervision of construction work (structural work, installation, finishing work, etc.). It is also registered for 4 additional activities.
SPETSAI's registered address is Molenstraat 8, 9270 Laarne, Belgium.
SPETSAI's most recently filed annual accounts (fiscal year ending 30 Jun 2025) reported a profit of €461,658.
SPETSAI's most recently filed annual accounts cover the fiscal year ending 30 Jun 2025.
We have no B Corp certification on file for SPETSAI.
No, SPETSAI does not currently hold Fairtrade certification.
Molenstraat 8, 9270 Laarne, Belgium
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2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
| Income statement | ||||
€697,977+280.4% | €183,494+43.2% | €128,152-87.3% | €1,006,285 | |
€5,936,586>1000% | €57,192-89.6% | €552,618+37% | €403,439 | |
€422,183+217.2% | €133,092+153.9% | €52,410-94.2% | €909,168 | |
€461,658+438.4% | €85,749+66.7% | €51,443-92.7% | €701,453 | |
€4,088-82.6% | €23,547-68.9% | €75,648+473.1% | €13,200 | |
| Profitability | ||||
16.7%+346.7% | 3.7%+60.5% | 2.3%-92.3% | 30.2% | |
2.9%+498.4% | 0.5%+46.4% | 0.3%-95.8% | 7.8% | |
| Solvency | ||||
€16,018,934-10% | €17,805,247+13.9% | €15,637,290+73.2% | €9,028,313 | |
€6,478,208+735.9% | €774,979+2.5% | €756,367-57.5% | €1,778,141 | |
€1,768,0000% | €1,768,0000% | €1,768,000-0.4% | €1,774,299 | |
€2,766,763+20.5% | €2,295,720+3.9% | €2,209,972-4.9% | €2,323,668 | |
17.3%+34% | 12.9%-8.8% | 14.1%-45.1% | 25.7% | |
€3,506,307-2.5% | €3,596,488-0.7% | €3,620,892-15.8% | €4,301,237 | |
1.27-19.1% | 1.57-4.4% | 1.64-11.5% | 1.85 | |
€13,000,380-14.6% | €15,218,999+15.9% | €13,136,790+104.8% | €6,414,117 | |
4.70-29.1% | 6.63+11.5% | 5.94+115.4% | 2.76 | |
| Liquidity | ||||
€161,634-88.8% | €1,446,174+316.4% | €347,320-77.4% | €1,534,430 | |
€4,203,150-57.7% | €9,929,164-6.8% | €10,652,364+337.8% | €2,433,132 | |
€1,829,358+7% | €1,710,163+30.3% | €1,312,651+30.7% | €1,004,199 | |
€60,611-92.2% | €777,765+398.5% | €156,038+10.5% | €141,224 | |
€295,662-82.9% | €1,727,422+285.7% | €447,856+21.9% | €367,370 | |
0.80-32.6% | 1.19-11.4% | 1.34-28.1% | 1.87 | |
-€1,721,347-147.3% | €3,639,757+1.2% | €3,597,025+7% | €3,362,993 | |
| Profit appropriation | ||||
€1,766,763+36.4% | €1,295,720+7.1% | €1,209,972+4.4% | €1,158,529 | |
XAVIER HUFKENS
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1993
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PG58
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1986
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1985
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1979
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GALLERIE GOUDBLOMME
BE 0430.438.191
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1987
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1989
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2001
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