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HIGH VISION

Dissolution or liquidation
Private limited company (pre-2019)founded 2007KBO/BCE: BE 0893.459.377
Summary

The KBO register records for HIGH VISION the legal situation: dissolution or liquidation; this is today's state according to the register itself, which carries no start date. The 2022 annual accounts show negative equity (-€21,937) and a net result of -€7,183.

HIGH VISIONDissolution or liquidation

Signals

Three signals. The signal on the left, the evidence on the right.
+raises risk○neutral
raises risk · Register: dissolution or liquidation
The KBO register records the legal situation: dissolution or liquidation. This is today's state according to the register itself; the register carries no start date.
KBO · legal situation
neutral · Filed after the deadline
The financial year that closed on 31-12-2022 was due by 31-07-2023 and was filed on 09-08-2023, 9 days later. For context: 47% of the Belgian market files late and the whole 1-to-90-day band measures 2.0% abnormal legal state against a 1.66% average. We show this as a fact and do not score it.
NBB · 10 filings
Deviation from the deadline
2025
not confirmed
2024
not filed
2023
not filed
2022
9 d late
2020
12 d late
2019
29 d late
2018
7 d late
← before the deadline after the deadline →
tick = median of all Belgian filings

This company filed its last 4 accounts on average 14 days after the deadline; the Belgian median for financial year 2024 is 4 days before the deadline, and 38% of all filings were late.

raises risk · Administrative warnings in the KBO publications
1 publication by the FPS Economy about this company, such as a strike-off for address, accounts or UBO, or its withdrawal.
KBO publications
Publications
Address struck

History

HIGH VISION was incorporated on 7 November 2007.1 Revenue fell from EUR 52,007 in 2019 to EUR 16,076 in 2022.2

  1. 1Crossroads Bank for Enterprises
  2. 2National Bank, annual accounts 2019 and 2022

Financials · fiscal year 2022, micro schema

Turnover
€16,076▼ 69.1%
2019 · €52,007
EBIT margin
3.5%▲ 22.4pp
2019 · -18.9%
Net result
-€7,183
2020 · €1,319
Working capital
-€10,334
2020 · €12,859
Trend over the years

Click a name to add, emphasise or remove a line.

Every figure with its change against the fiscal year before
favourable unfavourable
Line2018201920202022
Turnover€52,007€16,076-
Operating result€10,982--€9,838€11,375€563-
Net result€971--€19,157€1,319-€7,183-
EBIT margin-18.9%3.5%-
Equity€6,661--€12,496-€8,994▲ 28.0%-€21,937-
Total assets€191,085-€141,835▼ 25.8%€136,173▼ 4.0%€100,712-
Debt€184,424-€154,331▼ 16.3%€145,168▼ 5.9%€122,649-
Working capital€35,845-€2,226▼ 93.8%€12,859▲ 478%-€10,334-
Result per fiscal year
Operating resultNet result
-€20,000-€10,000€0€10,000Operating result 2018: €10,982€10,982Net result 2018: €971€971Operating result 2019: -€9,838-€9,838Net result 2019: -€19,157-€19,157Operating result 2020: €11,375€11,375Net result 2020: €1,319€1,319Operating result 2022: €563€563Net result 2022: -€7,183-€7,1832018201920202022-€20,000-€10,000€0€10,000Operating result 2019: -€9,838-€9,840Net result 2019: -€19,157-€19,200Operating result 2020: €11,375€11,400Net result 2020: €1,319€1,320Operating result 2022: €563€563Net result 2022: -€7,183-€7,180201920202022
The operating result is €563 in 2022, compared with €11,375 in 2020. Comparable figures for the intervening years are unavailable.
Balance-sheet composition
2022 in colour, 2020 as the grey bar beneath
Assets €100,712
Fixed assets €94,781 ▼ 14.3%
Current assets €5,931 ▼ 76.8%
Key figures and ratios
2022 value · change against 2020
EBITDA
€5,864▼
2020 · €20,145
Cash flow
-€1,882▼
2020 · €10,090
Solvency
-21.8%▼
2020 · -6.6%
Current ratio
0.36▼
2020 · 2.01
Debt to equity
-5.59▲
2020 · -14.73
ROA
-7.1%▼
2020 · 1.0%
Interest coverage
0.75
Debt ≤ 1 year
€16,266▲
2020 · €12,692
Debt > 1 year
€106,384▼
2020 · €132,475
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 · 2022 against 2020 · 44 lines
Balance sheet Code20202022
Assets
Total assets20/58€136,173€100,712▼
Fixed assets21/28€110,622€94,781▼
Tangible fixed assets22/27€110,622€94,781▼
Land and buildings22-€31,360
Other tangible fixed assets26-€63,421
Current assets29/58€25,551€5,931▼
Amounts receivable within one year40/41€25,551€5,931▼
Trade receivables40-€745
Other amounts receivable41-€5,186
Equity and liabilities
Total equity and liabilities10/49€136,173€100,712▼
Equity10/15-€8,994-€21,937▼
Contributions10/11€18,600€18,500▼
Capital10-€18,500
Issued capital100-€18,500
Reserves13€5,360€5,360=
Non-distributable reserves130/1-€1,860
Legal reserve130-€1,860
Tax-exempt reserves132-€3,500
Profit (loss) carried forward14-€32,954-€45,797▼
Amounts payable17/49€145,168€122,649▼
Amounts payable after more than one year17€132,475€106,384▼
Financial debts170/4-€106,384
Amounts payable within one year42/48€12,692€16,266▲
Financial debts43-€7,646
Other loans439-€7,646
Trade debts44€612€4,303▲
Suppliers440/4-€4,303
Taxes, remuneration and social security45-€4,316
Taxes450/3-€4,316
Income statement Code20202022
Turnover70-€16,076
Goods, raw materials, services and sundry goods60/61-€19,959
Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets630€8,770€5,301▼
Other operating charges640/8-€164
Gross operating margin9900€20,145€6,028▼
Operating profit (loss)9901€11,375€563▼
Financial income75/76B-€56
Recurring financial income75-€56
Financial charges65/66B-€7,802
Recurring financial charges65€10,056€7,802▼
Profit (loss) for the period before taxes9903€1,319-€7,183▼
Profit (loss) for the period9904€1,319-€7,183▼
Profit (loss) for the period to be appropriated9905€1,319-€7,183▼
Appropriation of the result
Profit (loss) to be appropriated9906--€45,797
Profit (loss) brought forward from the previous period14P--€38,614

The notes to these accounts (6 items: statements of assets and debts, cost breakdowns, rights and commitments) are not shown here.

Line2018201920202022Change
Turnover70-€52,007-€16,076-
Goods, raw materials, services and sundry goods60/61---€19,959-
Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets630€8,023€8,692€8,770€5,301-
Other operating charges640/8---€164-
Gross operating margin9900€19,561€29,035€20,145€6,028-
Operating profit (loss)9901€10,982-€9,838€11,375€563-
Financial income75/76B---€56-
Recurring financial income75€9€0-€56-
Financial charges65/66B---€7,802-
Recurring financial charges65€9,504€9,311€10,056€7,802-
Profit (loss) for the period before taxes9903€1,488-€19,148€1,319-€7,183-
Income taxes67/77€517€9---
Profit (loss) for the period9904€971-€19,157€1,319-€7,183-
Profit (loss) for the period to be appropriated9905€971-€19,157€1,319-€7,183-
Line2018201920202022Change
Assets
Total assets20/58€191,085€141,835€136,173€100,712-
Fixed assets21/28€118,837€117,753€110,622€94,781-
Intangible fixed assets21€0----
Tangible fixed assets22/27€118,837€117,753€110,622€94,781-
Land and buildings22---€31,360-
Other tangible fixed assets26---€63,421-
Current assets29/58€72,248€24,082€25,551€5,931-
Amounts receivable within one year40/41€72,248€24,082€25,551€5,931-
Trade receivables40---€745-
Other amounts receivable41---€5,186-
Equity and liabilities
Total equity and liabilities10/49€191,085€141,835€136,173€100,712-
Equity10/15€6,661-€12,496-€8,994-€21,937-
Contributions10/11€18,600€18,600€18,600€18,500-
Capital10---€18,500-
Issued capital100---€18,500-
Reserves13€5,360€5,360€5,360€5,360-
Non-distributable reserves130/1---€1,860-
Legal reserve130---€1,860-
Tax-exempt reserves132---€3,500-
Profit (loss) carried forward14-€17,299-€36,456-€32,954-€45,797-
Amounts payable17/49€184,424€154,331€145,168€122,649-
Amounts payable after more than one year17€148,021€132,475€132,475€106,384-
Financial debts170/4---€106,384-
Amounts payable within one year42/48€36,403€21,856€12,692€16,266-
Financial debts43---€7,646-
Other loans439---€7,646-
Trade debts44€4,186€9,455€612€4,303-
Suppliers440/4---€4,303-
Taxes, remuneration and social security45---€4,316-
Taxes450/3---€4,316-
Line2018201920202022Change
Profit (loss) for the period9904€971-€19,157€1,319-€7,183-
+ Depreciation and write-downs630€8,023€8,692€8,770€5,301-
Operating cash flow (approximation)€8,994-€10,466€10,090-€1,882-
Investment in fixed assets (approximation)--€7,608-€1,640--

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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Timeline · acts, filings and financial milestones

2025
07-03
KBO administration Address struck
2024
19-11
Bankruptcy Closure of the judicial dissolution
Tribunal de l’entreprise francophone de Bruxelles · event 07-11-2024
2023
09-08
NBB filing Annual accounts filed
fiscal year 2022 · micro schema · 9 days late
2021
12-08
NBB filing Annual accounts filed
fiscal year 2020 · micro schema · 12 days late
2020
31-12
Financial Back to profitnet €1,319
Net result €1,319 after one loss-making year.
29-08
NBB filing Annual accounts filed
fiscal year 2019 · micro schema · 29 days late
2019
31-12
Financial Weakest financial yearnet -€19,157
Net result drops to -€19,157, the lowest in the series.
07-08
NBB filing Annual accounts filed
fiscal year 2018 · full schema · 7 days late
2017
11-09
NBB filing Annual accounts filed
fiscal year 2016 · full schema · 42 days late
2014
29-09
NBB filing Annual accounts filed
fiscal year 2013 · full schema · 60 days late
2013
30-08
NBB filing Annual accounts filed
fiscal year 2012 · full schema · 30 days late
2012
30-08
NBB filing Annual accounts filed
fiscal year 2011 · full schema · 30 days late
2011
31-08
NBB filing Annual accounts filed
fiscal year 2010 · full schema · 31 days late
2010
30-09
NBB filing Annual accounts filed
fiscal year 2009 · full schema · 61 days late
SignalFinancial milestoneNBB filingFinancial milestones sit on the fiscal year-end date, not the filing date.
0 of 4 acts read
About the unread acts

We know of 4 Belgian State Gazette acts for this company. None of them has been read yet: what they contain is neither established nor disproved here.

Have them read with priority Sign in to place this company at the front of the reading queue.

Directors · office · real estate

Directors
4 acts for this company are in the Belgian State Gazette, of which we have read 0. We have therefore not extracted its directors from those acts yet.
Location & real-estate footprint
Registered office, Brussel · 2 establishment units since 2008
seat establishment All 2 establishment units on the map
Ground area
1,647 m²
Building footprint
559 m²
Volume, LiDAR
8,514 m³
3 parcels, Brussels, Flanders, Wallonia · tallest building 26.6 m, ±8 floors. Linked by address, not a title deed.
423 companies at this address See who is registered here
2 establishment units
Rue Baty Gigot 244, 1420 Braine-l'Alleud
IT consultancy
since 20082.168.463.110
HIGH VISION
Waterloose Steenweg 168, 1640 Sint-Genesius-RodeBusiness consulting
since 20142.231.253.782
3 parcels
Flanders 1 (33.3%) Wallonia 1 (33.3%) Brussels 1 (33.3%)
Parcel (capakey) Region Area Buildings Height / fl.
21803C0630/00H003 Brussels 808 m² 1 · 279 m² 26.6 m · 8 fl.
22552F0290/02B000
ProtectedCultural-historical landscapeZoniënwoud en KapucijnenbosSource ↗
Flanders 588 m² 1 · 213 m² 11.1 m · 2 fl.
25742H0514/00X002 Wallonia 251 m² 1 · 66 m² 13.6 m · 4 fl.
Linked by address, not proof of ownership
Good to know
3 of 3 parcels with an exact address match; the rest are indicative.
Linked through address data, this is not proof of ownership.
1 of these parcels carry protected heritage: expect extra rules on renovation or sale.

Identification & contact

Identification
Legal formPrivate limited company (pre-2019)
Founded07-11-2007
Fiscal year end31-12
E-invoicing
Not found in the Peppol register

No Peppol card under this enterprise or VAT number. That proves nothing: publishing a card is voluntary.

Register as of 28 September 2026 · Peppol Directory

Scores and ratios are computed by Checked and are not a credit decision.