2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
€1,345,389+1.3% | €1,328,282+341.3% | €300,978>1000% | €2,301 | |
€4,806,414+58.9% | €3,024,166+110.5% | €1,436,502+49.6% | €960,239 | |
€952,783-42.1% | €1,644,333+22% | €1,347,319+87.8% | €717,382 | |
€402,023+133.5% | €172,176+46.6% | €117,479-75.4% | €477,598 | |
12.6+5.9% | 11.9+28% | 9.3+36.8% | 6.8 |
NOVEN.
BE 0607.985.112.
Naamloze vennootschap (NV) / Société anonyme (SA).
Corporate structure data isn't available for NOVEN right now.
NOVEN was founded on 25 Mar 2015, making it 11 years old.
Yes, NOVEN is currently active.
NOVEN's registered main activities are Engineering activities and technical consultancy, except activities of land surveyors, Other miscellaneous personal service activities, Other business support service activities n.e.c., Activities of agents involved in the wholesale of other particular products, Production, collection and distribution of steam and hot water for heating, power and other purposes, Tests and analyses relating to composition, physical characteristics, performance, compliance with regulatory texts and standards or specifications of materials, products, installation, etc., Other liberal professions and professional, scientific and technical activities n.e.c., and Activities of agents involved in the wholesale of machinery, industrial equipment, ships and aircraft.
NOVEN's registered address is Coupure 64 box D, 9000 Gent, Belgium.
Based on its most recently filed annual accounts (fiscal year ending 31 Dec 2025), NOVEN reported 12.6 full-time equivalent employees.
NOVEN's most recently filed annual accounts (fiscal year ending 31 Dec 2025) reported a profit of €1,345,389.
NOVEN's most recently filed annual accounts cover the fiscal year ending 31 Dec 2025.
We have no B Corp certification on file for NOVEN.
No, NOVEN does not currently hold Fairtrade certification.
Coupure 64 box D, 9000 Gent, Belgium
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2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
| Income statement | ||||
€1,309,169+19% | €1,099,884+24.8% | €881,039+77.9% | €495,243 | |
€1,269,098+21.8% | €1,042,135+24.9% | €834,256+76.8% | €471,982 | |
€35,335-19.2% | €43,728-83.2% | €260,438+448.8% | €47,459 | |
-€140,784-33.3% | -€105,574-130.7% | -€45,768-186.1% | -€15,995 | |
€1,345,389+1.3% | €1,328,282+341.3% | €300,978>1000% | €2,301 | |
€22,836-41.9% | €39,318-24.8% | €52,277+949.7% | €4,980 | |
| Profitability | ||||
28.0%-36.3% | 43.9%+109.6% | 21.0%>1000% | 0.2% | |
23.1%-18.5% | 28.4%+163.1% | 10.8%>1000% | 0.1% | |
| Solvency | ||||
€5,819,358+24.3% | €4,680,143+67.8% | €2,789,774+66.3% | €1,677,621 | |
€133,471-9.9% | €148,077-11.6% | €167,506+97.7% | €84,744 | |
€1,496,275+5.6% | €1,417,265+166.2% | €532,515+632.1% | €72,740 | |
€4,806,414+58.9% | €3,024,166+110.5% | €1,436,502+49.6% | €960,239 | |
82.6%+27.8% | 64.6%+25.5% | 51.5%-10% | 57.2% | |
€0-100% | €723,996+61.3% | €448,936+7.5% | €417,530 | |
0.00-100% | 0.24-23.4% | 0.31-28.1% | 0.43 | |
€952,783-42.1% | €1,644,333+22% | €1,347,319+87.8% | €717,382 | |
0.20-63.5% | 0.54-42% | 0.94+25.5% | 0.75 | |
| Liquidity | ||||
€402,023+133.5% | €172,176+46.6% | €117,479-75.4% | €477,598 | |
€1,853,510+148.1% | €747,236+22% | €612,612+21.3% | €504,858 | |
€1,196,554+6.6% | €1,122,246+4.6% | €1,072,877+175.5% | €389,493 | |
€724,935+3% | €703,804+11.8% | €629,718+916.3% | €61,964 | |
€872,857+1.9% | €856,623+3.4% | €828,250+424.6% | €157,883 | |
3.46+15.3% | 3.00+43.8% | 2.09-40% | 3.48 | |
€2,743,362+36.4% | €2,011,370+84% | €1,092,883-10.4% | €1,220,286 | |
| Profit appropriation | ||||
€61,1650% | €61,165+237.3% | €18,134+487.7% | €3,085 | |
€2,954,972+83.6% | €1,609,583+396.3% | €324,332+744.5% | €38,403 | |
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1973
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1967
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