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DEVIC

Bankruptcy closed
Private limited companyfounded 2019Valleistraat 7, 3270 Scherpenheuvel-Zichem, BelgiumKBO/BCE: BE 0738.492.573

Inactive since 11-07-2026; last annual accounts for fiscal year 2021.

Summary

DEVIC was declared bankrupt on 12-05-2022 (Ondernemingsrechtbank Leuven); the bankruptcy was closed by liquidation by judgment of 09-07-2026, published in the Belgian State Gazette on 20-07-2026.

DEVICBankruptcy closed

Financials · fiscal year 2021, micro schema

Equity
-€280,614
2020 · €88,272
Total assets
€123,554▼ 70.2%
2020 · €414,448
Net result
-€368,886
2020 · €82,904
Working capital
-€326,425
2020 · €12,765
Trend over the years

2019 to 2021, 3 fiscal years

The operating result turns negative in 2021: a loss of €342,780 after €111,257 in 2020, the lowest result in the available series.

What the company sold each fiscal year and what was left of it. A loss stands below the zero line.

Operating result-€342,780 2021 Net result-€368,886 2021

Point at or tap a year, or use the arrow keys on the chart, for the exact figures; the table below gives them all.Sector: the middle half (P25 to P75) of NACE 41, Construction of residential and non-residential buildings, each year against the same schema; no band under 30 filings. Dashed line: the median. Available for Net result, Equity, Total assets, Working capital, Solvency, Current ratio, Return on assets (ROA), Staff (FTE).

Every figure with its change against the fiscal year before
favourable unfavourable
Line201920202021
Operating result€3,363-€111,257▲ 3,209%-€342,780
Net result€2,368-€82,904above the sector's middle half▲ 3,401%-€368,886below the sector's middle half
Equity€5,368-€88,272within the sector's middle half▲ 1,544%-€280,614below the sector's middle half
Total assets€12,166-€414,448above the sector's middle half▲ 3,307%€123,554within the sector's middle half▼ 70.2%
Debt€6,798-€326,175▲ 4,698%€404,167▲ 23.9%
Working capital€5,865-€12,765within the sector's middle half▲ 118%-€326,425below the sector's middle half
Solvency44.1%-21.3%within the sector's middle half▼ 22.8pp-227.1%below the sector's middle half▼ 248.4pp
Current ratio1.93-1.04below the sector's middle half▼ 0.890.17below the sector's middle half▼ 0.87
Return on assets (ROA)19.5%-20.0%above the sector's middle half▲ 0.5pp-298.6%below the sector's middle half▼ 318.6pp
Staff (FTE)0.1below the sector's middle half0.8▲ 700%
above within below the middle half (P25 to P75) of NACE 41, Construction of residential and non-residential buildings, each year against the same schema; no band under 30 filings.
Turnover and EBIT margin not published: the micro schema does not require them.
Balance-sheet composition
2021 in colour, 2020 as the grey bar beneath
Assets €123,554
Fixed assets €55,106 ▼ 38.1%
Current assets €68,447 ▼ 79.0%
Equity and liabilities
Equity-€280,614
Debt€404,167
Equity is negative: debt (€404,167) exceeds the balance-sheet total (€123,554).
Key figures and ratios
2021 value · change against 2020
EBITDA
-€328,405▼
2020 · €125,124
Cash flow
-€354,511▼
2020 · €96,771
Debt ≤ 1 year
€394,873▲
2020 · €312,699
Debt > 1 year
€9,295▼
2020 · €13,269
Income taxes
€204▼
2020 · €27,935
No debt to equity: equity is negative, so debt divided by equity means nothing.
Green means a favourable move, even when the figure itself falls: as with debt or debt to equity.
Annual accounts
Filed annual accounts As filed with the NBB · 2021 against 2020 · 25 lines
Balance sheet Code20202021
Assets
Total assets20/58€414,448€123,554▼
Fixed assets21/28€88,983€55,106▼
Tangible fixed assets22/27€88,983€52,106▼
Financial fixed assets28-€3,000
Current assets29/58€325,464€68,447▼
Stocks and contracts in progress3€2,816-
Amounts receivable within one year40/41€132,745€67,417▼
Cash at bank and in hand54/58€188,147-
Equity and liabilities
Total equity and liabilities10/49€414,448€123,554▼
Equity10/15€88,272-€280,614▼
Reserves13€85,272-
Profit (loss) carried forward14--€283,614
Amounts payable17/49€326,175€404,167▲
Amounts payable after more than one year17€13,269€9,295▼
Amounts payable within one year42/48€312,699€394,873▲
Trade debts44€250,302€317,747▲
Income statement Code20202021
Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets630€13,867€14,375▲
Gross operating margin9900€130,888-€289,579▼
Operating profit (loss)9901€111,257-€342,780▼
Recurring financial income75€115€87▼
Recurring financial charges65€533€1,361▲
Profit (loss) for the period before taxes9903€110,840-€368,681▼
Income taxes67/77€27,935€204▼
Profit (loss) for the period9904€82,904-€368,886▼
Profit (loss) for the period to be appropriated9905€82,904-€368,886▼
Line201920202021Change
Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets630-€13,867€14,375▲ 3.7%
Gross operating margin9900€5,423€130,888-€289,579▼ 321%
Operating profit (loss)9901€3,363€111,257-€342,780▼ 408%
Recurring financial income75-€115€87▼ 24.8%
Recurring financial charges65-€533€1,361▲ 156%
Profit (loss) for the period before taxes9903€3,363€110,840-€368,681▼ 433%
Income taxes67/77€995€27,935€204▼ 99.3%
Profit (loss) for the period9904€2,368€82,904-€368,886▼ 545%
Profit (loss) for the period to be appropriated9905€2,368€82,904-€368,886▼ 545%
Line201920202021Change
Assets
Total assets20/58€12,166€414,448€123,554▼ 70.2%
Fixed assets21/28-€88,983€55,106▼ 38.1%
Tangible fixed assets22/27-€88,983€52,106▼ 41.4%
Financial fixed assets28--€3,000-
Current assets29/58€12,166€325,464€68,447▼ 79.0%
Stocks and contracts in progress3-€2,816--
Amounts receivable within one year40/41€10,510€132,745€67,417▼ 49.2%
Cash at bank and in hand54/58€1,656€188,147--
Equity and liabilities
Total equity and liabilities10/49€12,166€414,448€123,554▼ 70.2%
Equity10/15€5,368€88,272-€280,614▼ 418%
Reserves13€2,368€85,272--
Profit (loss) carried forward14---€283,614-
Amounts payable17/49€6,798€326,175€404,167▲ 23.9%
Amounts payable after more than one year17-€13,269€9,295▼ 30.0%
Amounts payable within one year42/48€6,301€312,699€394,873▲ 26.3%
Trade debts44€5,269€250,302€317,747▲ 26.9%
Line201920202021Change
Profit (loss) for the period9904€2,368€82,904-€368,886▼ 545%
+ Depreciation and write-downs630-€13,867€14,375▲ 3.7%
Operating cash flow (approximation)€2,368€96,771-€354,511▼ 466%
Investment in fixed assets (approximation)--€19,502-
Change in cash-€186,491--

Simplified and derived: a Belgian filing has no cash-flow statement, so these rows come from the income statement and the balance-sheet moves.

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