2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
€2,317,065+28.5% | €1,803,596-5.8% | €1,914,440-48.7% | €3,730,818 | |
€41,256,721+297.4% | €10,381,834-42.5% | €18,045,484+33.5% | €13,522,437 | |
€113,897,882+56.8% | €72,641,161+13.9% | €63,759,328+23.3% | €51,713,843 | |
€6,866,900-13.7% | €7,958,997-40.9% | €13,462,694+13.6% | €11,856,471 | |
€9,347,666+228.2% | €2,848,266+10.7% | €2,573,740+23.7% | €2,080,622 | |
10.5+25% | 8.4+15.1% | 7.3-5.2% | 7.7 | |
€220,673+2.8% | €214,714-18.1% | €262,252-45.9% | €484,522 |
VT-INVEST.
BE 0883.073.845.
Besloten Vennootschap (BV) / Société à responsabilité limitée (SRL).
Corporate structure data isn't available for VT-Invest bvba right now.
VT-Invest bvba was founded on 17 Aug 2006, making it 20 years old.
Yes, VT-Invest bvba is currently active.
VT-Invest bvba's registered main activities are Activities of head offices, Business and other management consultancy activities, Activities of holding companies, and Other business support service activities n.e.c.. It is also registered for 5 additional activities.
VT-Invest bvba's registered address is Knokkebaan 25 box 2A, 9880 Aalter, Belgium.
Based on its most recently filed annual accounts (fiscal year ending 31 Dec 2025), VT-Invest bvba reported 10.5 full-time equivalent employees.
VT-Invest bvba's most recently filed annual turnover (fiscal year ending 31 Dec 2025) was €2,317,065.
VT-Invest bvba's most recently filed annual accounts (fiscal year ending 31 Dec 2025) reported a profit of €41,256,721.
VT-Invest bvba's most recently filed annual accounts cover the fiscal year ending 31 Dec 2025.
We have no B Corp certification on file for VT-Invest bvba.
No, VT-Invest bvba does not currently hold Fairtrade certification.
Knokkebaan 25 box 2A, 9880 Aalter, Belgium
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2025 | 2024 | 2023 | 2022 | |
|---|---|---|---|---|
| Income statement | ||||
€2,317,065+28.5% | €1,803,596-5.8% | €1,914,440-48.7% | €3,730,818 | |
€946,441+28.5% | €736,363+6.9% | €688,659+21.2% | €568,234 | |
€61,716+184.8% | -€72,798<-1000% | €92+100% | -€427,695 | |
€41,256,721+297.4% | €10,381,834-42.5% | €18,045,484+33.5% | €13,522,437 | |
€465,919+193.2% | €158,918-38% | €256,388+213.9% | €81,676 | |
| Profitability | ||||
1780.6%+209.3% | 575.6%-38.9% | 942.6%+160.1% | 362.5% | |
36.2%+153.5% | 14.3%-49.5% | 28.3%+8.2% | 26.1% | |
34.1%+165.4% | 12.9%-44.9% | 23.3%+9.9% | 21.2% | |
| Solvency | ||||
€120,855,223+49.8% | €80,700,437+4.4% | €77,329,572+21.4% | €63,692,260 | |
€1,232,286+5.1% | €1,172,041+1.4% | €1,155,751-5.7% | €1,225,953 | |
€102,131,220+67.3% | €61,040,533-6.1% | €65,009,003+16.5% | €55,787,576 | |
€113,897,882+56.8% | €72,641,161+13.9% | €63,759,328+23.3% | €51,713,843 | |
94.2%+4.7% | 90.0%+9.2% | 82.5%+1.6% | 81.2% | |
€1,876,708-11.4% | €2,118,863-24% | €2,787,053-24% | €3,666,389 | |
0.02-43.5% | 0.03-33.3% | 0.04-38.3% | 0.07 | |
€6,866,900-13.7% | €7,958,997-40.9% | €13,462,694+13.6% | €11,856,471 | |
0.06-45% | 0.11-48.1% | 0.21-7.9% | 0.23 | |
0.22+184.1% | -0.26<-1000% | 0.00+100% | -1.16 | |
| Liquidity | ||||
€9,347,666+228.2% | €2,848,266+10.7% | €2,573,740+23.7% | €2,080,622 | |
€558,1550% | €558,155-0.6% | €561,818-31.4% | €818,995 | |
€887,644+31.3% | €676,127-9.6% | €748,156+28.3% | €583,146 | |
€291,321-28.6% | €407,983+83.4% | €222,430-51.5% | €458,999 | |
€4,985,104-14.3% | €5,815,664-45.4% | €10,648,754+31.8% | €8,078,004 | |
0.68-54% | 1.47+398.5% | 0.30-3.9% | 0.31 | |
€7,736,606+37.9% | €5,612,364+213.5% | -€4,946,776-37.8% | -€3,590,061 | |
| Efficiency | ||||
140 days+2.2% | 137 days-4.1% | 143 days+150% | 57 days | |
85 days-34.3% | 129 days+54.6% | 83 days-21.3% | 106 days | |
95515 days+183.2% | 33729 days+708.4% | 4172 days+878.8% | 426 days | |
0.00-100% | 0.01-85.7% | 0.07-83.3% | 0.42 | |
| Profit appropriation | ||||
€0-100% | €1,500,000-75% | €6,000,000+300% | €1,500,000 | |
€113,875,882+56.8% | €72,619,099+13.9% | €63,735,517+23.3% | €51,690,032 | |
€0-100% | €62-96.6% | €1,8110% | €1,811 | |
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