2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
€34,728,056+14% | €30,469,048+3.2% | €29,515,837+29.4% | €22,808,645 | |
€747,977+477% | -€198,398-137% | €535,488+289.3% | €137,564 | |
€5,675,188+15.2% | €4,927,211-3.9% | €5,125,609+11.7% | €4,590,121 | |
€25,816,088+29.4% | €19,943,907-4.3% | €20,836,120+37.5% | €15,159,140 | |
€258,118-5.3% | €272,517-51% | €556,435+97.8% | €281,309 | |
78.2+15.5% | 67.7+3.4% | 65.5+1.2% | 64.7 | |
€444,093-1.3% | €450,060-0.1% | €450,623+27.8% | €352,529 |
SPLIFAR.
BE 0675.492.855.
Naamloze vennootschap (NV) / Société anonyme (SA).
Corporate structure data isn't available for SPLIFAR right now.
SPLIFAR was founded on 08 May 2017, making it 9 years old.
Yes, SPLIFAR is currently active.
SPLIFAR's registered main activities are Manufacture of other parts and accessories for motor vehicles, Retail sale of cars and light motor vehicles (<= 3,5 tons), Manufacture of tools, except moulds and models, Repair and maintenance of machinery, Glazing, Retail sale of other motor vehicles (> 35 tonnes), Shaping and processing of flat glass, Machining of metals, and General repair and maintenance of cars and light motor vehicles (<= 3,5 tons).
SPLIFAR's registered address is Avenue du Marquis(FL) 10, 6220 Fleurus, Belgium.
Based on its most recently filed annual accounts (fiscal year ending 30 Sep 2025), SPLIFAR reported 78.2 full-time equivalent employees.
SPLIFAR's most recently filed annual turnover (fiscal year ending 30 Sep 2025) was €34,728,056.
SPLIFAR's most recently filed annual accounts (fiscal year ending 30 Sep 2025) reported a profit of €747,977.
SPLIFAR's most recently filed annual accounts cover the fiscal year ending 30 Sep 2025.
We have no B Corp certification on file for SPLIFAR.
No, SPLIFAR does not currently hold Fairtrade certification.
Avenue du Marquis(FL) 10, 6220 Fleurus, Belgium
Open in Google MapsShowing 1 of 1 locations.
2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
| Income statement | ||||
€34,728,056+14% | €30,469,048+3.2% | €29,515,837+29.4% | €22,808,645 | |
€4,488,501+10.2% | €4,074,788+7.5% | €3,790,416+16.5% | €3,253,740 | |
€1,645,972+476% | €285,744-73.1% | €1,063,932+177.1% | €383,927 | |
— | — | — | €1,882,339 | |
€747,977+477% | -€198,398-137% | €535,488+289.3% | €137,564 | |
€582,794>1000% | €25,200-93.8% | €406,287+125.7% | €179,984 | |
| Profitability | ||||
— | — | — | 8.3% | |
2.2%+430.8% | -0.7%-135.9% | 1.8%+200.8% | 0.6% | |
13.2%+427.3% | -4.0%-138.5% | 10.4%+248.6% | 3.0% | |
2.4%+397.8% | -0.8%-138.7% | 2.1%+196.1% | 0.7% | |
| Solvency | ||||
€31,491,276+26.6% | €24,871,118-4.2% | €25,961,729+31.5% | €19,749,261 | |
€14,042,781+31% | €10,719,839+13.4% | €9,452,025+38% | €6,847,646 | |
€260,0340% | €260,034+8.2% | €240,363>1000% | €463 | |
€5,675,188+15.2% | €4,927,211-3.9% | €5,125,609+11.7% | €4,590,121 | |
18.0%-9% | 19.8%+0.3% | 19.7%-15% | 23.2% | |
€5,684,310+76.9% | €3,213,197+3.3% | €3,110,464+14.2% | €2,724,859 | |
1.00+53.6% | 0.65+7.5% | 0.61+2.2% | 0.59 | |
€25,816,088+29.4% | €19,943,907-4.3% | €20,836,120+37.5% | €15,159,140 | |
4.55+12.4% | 4.05-0.4% | 4.07+23.1% | 3.30 | |
5.52+712.3% | 0.68-81.9% | 3.77-0.7% | 3.79 | |
| Liquidity | ||||
€258,118-5.3% | €272,517-51% | €556,435+97.8% | €281,309 | |
€5,423,898+13.5% | €4,777,178+12.2% | €4,257,153+2.4% | €4,158,189 | |
€11,102,542+32.3% | €8,391,674-19.2% | €10,387,279+42.8% | €7,272,050 | |
€5,826,275+6.9% | €5,452,711-9.3% | €6,011,973+19.7% | €5,021,510 | |
€19,899,125+20.7% | €16,480,337-5.5% | €17,440,881+40.4% | €12,426,055 | |
0.84+3.4% | 0.81-8.3% | 0.89-12.4% | 1.01 | |
-€2,968,023-3.3% | -€2,873,974-96.1% | -€1,465,893-443.9% | €426,198 | |
| Efficiency | ||||
117 days+16.1% | 101 days-21.7% | 128 days+10.4% | 116 days | |
75 days-1.6% | 77 days-16.2% | 91 days-11.4% | 103 days | |
95 days+2.4% | 93 days-0.7% | 94 days-26.6% | 128 days | |
4.07-1.7% | 4.14+5.3% | 3.93+38.4% | 2.84 | |
| Profit appropriation | ||||
€139,476+36.6% | €102,0770% | €102,077+35.6% | €75,303 | |
€2,975,318+31.4% | €2,264,740-8% | €2,463,138+26% | €1,954,424 | |
THULE NV
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