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PLOUVIER GROUP

Active Risk: not assessed
Public limited companyfounded 200818 yrs activeNoorderlaan 79, 2030 Antwerpen, BelgiumKBO/BCE: BE 0806.429.690
Summary

PLOUVIER GROUP has a registered holding activity and consists mainly of financial fixed assets; the bankruptcy model is trained on trading and manufacturing companies and does not apply here. The 2025 annual accounts show equity of €41.6m and a net result of -€588,997. Equity is growing by ~3.7% per year across the filed fiscal years. Its solvency ranks better than 95% of 3243 sector peers (fiscal year 2025). The company has been active since 2008 and the Belgian State Gazette contains no insolvency or warning signals.

Checked score

Outside the general model
Holding: general score not applicable
The company has a registered holding activity and financial fixed assets account for more than half of its assets. The general operating-company model is unsuitable for this profile, so we show no financial axes either. Filed figures remain available.
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Signals

1 signal. The signal on the left, the evidence on the right.
○neutral
neutral · Latest accounts filed on time
The financial year that closed on 31-12-2025 was due by 31-07-2026 and was filed on 24-07-2026, 7 days ahead of the deadline.
NBB · 7 filings
Deviation from the deadline
2025
7 d early
2024
68 d late
2023
134 d late
2022
31 d late
2021
29 d late
2020
8 d early
2019
33 d late
← before the deadline after the deadline →
tick = median of all Belgian filingsring = median in the sector

This company filed its last 7 accounts on average 40 days after the deadline; the sector median for financial year 2024 is 9 days before the deadline, and 32% of the sector filed late.

Checked, nothing found (2)
neutral · The next deadline is still running
The next financial year closes on 31-12-2026 and is due by 31-07-2027. Nothing is late today. Usually files around 31 August (4 of the last 5 filed years within 38 days of that day).
Companies Code · seven months
Position in the running window
30-09-2026 today31-12-2026 close31-07-2027 deadline
neutral · No strike-offs in the KBO publications
We found no ex-officio strike-off or cessation. Our series starts in 2021 and has gaps, so this is not a confirmation that there is nothing.
KBO publications · our coverage

History

On 16 September 2008, PLOUVIER GROUP was incorporated.1 In 2026 the registered office moved to Antwerpen.2 ROH BRAZ Consulting has served as managing director of the company since 2026.2 Revenue went from EUR 1.4 million in 2018 to EUR 1.1 million in 2025 and headcount from 1 to 0.2 full-time equivalents.3

  1. 1Crossroads Bank for Enterprises
  2. 2Belgian State Gazette, 10-08-2026
  3. 3National Bank, annual accounts 2018 and 2025

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Financials · fiscal year 2025, full schema, statutory accounts

Turnover
€1.1m▼ 13.9%
2024 · €1.2m
EBIT margin
-10.0%▼ 6.5pp
2024 · -3.5%
Net result
-€588,997
2024 · €669,932
Working capital
€2.4m▼ 55.6%
2024 · €5.4m
Trend over the years

Click a name to add, emphasise or remove a line.Band: the middle half (P25 to P75) of NACE 70, Activities of head offices; management consultancy activities, each year against the same schema; no band under 30 filings. Dashed line: the median.

Every figure with its change against the fiscal year before
favourable unfavourable
Line20212022202320242025
Turnover€2.6m▲ 36.7%€2.9m▲ 7.7%€1.7m▼ 41.1%€1.2m▼ 26.4%€1.1m▼ 13.9%
Operating result€11,805▲ 281%€6,211▼ 47.4%-€46,604-€43,202▲ 7.3%-€106,729▼ 147%
Net result€1.5mabove the sector's middle half▼ 10.0%€785,941above the sector's middle half▼ 49.1%€2.3mabove the sector's middle half▲ 190%€669,932above the sector's middle half▼ 70.6%-€588,997below the sector's middle half
EBIT margin0.4%▲ 0.3pp0.2%▼ 0.2pp-2.8%▼ 3.0pp-3.5%▼ 0.7pp-10.0%▼ 6.5pp
Equity€38.5mabove the sector's middle half▲ 4.2%€39.2mabove the sector's middle half▲ 2.0%€41.5mabove the sector's middle half▲ 5.8%€42.2mabove the sector's middle half▲ 1.6%€41.6mabove the sector's middle half▼ 1.4%
Total assets€39.1mabove the sector's middle half▼ 1.3%€40.2mabove the sector's middle half▲ 2.8%€41.7mabove the sector's middle half▲ 3.9%€42.4mabove the sector's middle half▲ 1.7%€41.9mabove the sector's middle half▼ 1.4%
Debt€613,696▼ 77.0%€910,275▲ 48.3%€203,799▼ 77.6%€234,023▲ 14.8%€249,589▲ 6.7%
Working capital€4.2mabove the sector's middle half▼ 18.8%€5.0mabove the sector's middle half▲ 19.2%€7.1mabove the sector's middle half▲ 42.3%€5.4mabove the sector's middle half▼ 23.4%€2.4mabove the sector's middle half▼ 55.6%
Solvency98.4%above the sector's middle half▲ 5.2pp97.7%above the sector's middle half▼ 0.7pp99.5%above the sector's middle half▲ 1.8pp99.4%above the sector's middle half▼ 0.1pp99.4%above the sector's middle half=
Current ratio7.80above the sector's middle half▼ 1.166.46above the sector's middle half▼ 1.3435.71above the sector's middle half▲ 29.2524.16above the sector's middle half▼ 11.5510.64above the sector's middle half▼ 13.52
Return on assets (ROA)4.0%within the sector's middle half▼ 0.4pp2.0%within the sector's middle half▼ 2.0pp5.5%within the sector's middle half▲ 3.5pp1.6%within the sector's middle half▼ 3.9pp-1.4%below the sector's middle half▼ 3.0pp
Staff (FTE)1.2within the sector's middle half▼ 25.0%1.8within the sector's middle half▲ 50.0%2.1within the sector's middle half▲ 16.7%0.8within the sector's middle half▼ 61.9%0.2below the sector's middle half▼ 75.0%
above within below the middle half (P25 to P75) of NACE 70, Activities of head offices; management consultancy activities, each year against the same schema; no band under 30 filings.
Result per fiscal year
Operating resultNet result
-€1.0m€0€1.0m€2.0mOperating result 2021: €11,805€11,805Net result 2021: €1.5m€1.5mOperating result 2022: €6,211€6,211Net result 2022: €785,941€785,941Operating result 2023: -€46,604-€46,604Net result 2023: €2.3m€2.3mOperating result 2024: -€43,202-€43,202Net result 2024: €669,932€669,932Operating result 2025: -€106,729-€106,729Net result 2025: -€588,997-€588,99720212022202320242025-€1m€0€1m€2mOperating result 2023: -€46,604-€46,600Net result 2023: €2.3m€2.3mOperating result 2024: -€43,202-€43,200Net result 2024: €669,932€670,000Operating result 2025: -€106,729-€107,000Net result 2025: -€588,997-€589,000202320242025
The operating result stays negative: a loss of €106,729 in 2025 against €43,202 in 2024; the loss grows and 2025 has the lowest result in the available series.
Balance-sheet composition
2025 in colour, 2024 as the grey bar beneath
Assets €41.9m
Fixed assets €39.2m ▲ 6.6%
Current assets €2.7m ▼ 53.0%
Equity and liabilities €41.9m
Equity €41.6m ▼ 1.4%
Debt €249,589 ▲ 6.7%
Debt's share of the balance-sheet total stays at 0.6%.
Key figures and ratios
2025 value · change against 2024
ROE
-1.4%▼
2024 · 1.6%
Debt ≤ 1 year
€249,589▲
2024 · €234,023
Income taxes
€188,536▼
2024 · €234,198
Staff costs
€22,636▼
2024 · €232,925
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 · 2025 against 2024 · 67 lines
Balance sheet Code20242025
Assets
Total assets20/58€42.4m€41.9m▼
Fixed assets21/28€36.8m€39.2m▲
Tangible fixed assets22/27€172,862€131,731▼
Plant, machinery and equipment23€39,312€28,401▼
Furniture and vehicles24€133,550€103,330▼
Financial fixed assets28€36.6m€39.1m▲
Affiliated companies280/1€36.6m€39.1m▲
Participating interests280€16.9m€15.0m▼
Amounts receivable281€19.7m€24.1m▲
Current assets29/58€5.7m€2.7m▼
Stocks and contracts in progress3€0€0=
Amounts receivable within one year40/41€4.4m€699,470▼
Trade receivables40€276,835€299,389▲
Other amounts receivable41€4.2m€400,082▼
Cash at bank and in hand54/58€222,209€1.1m▲
Deferred charges and accrued income490/1€1.0m€840,190▼
Equity and liabilities
Total equity and liabilities10/49€42.4m€41.9m▼
Equity10/15€42.2m€41.6m▼
Contributions10/11€20.0m€20.0m=
Capital10€20.0m€20.0m=
Issued capital100€20.0m€20.0m=
Reserves13€1.1m€1.1m=
Non-distributable reserves130/1€1.1m€1.1m=
Legal reserve130€1.1m€1.1m=
Profit (loss) carried forward14€21.1m€20.5m▼
Amounts payable17/49€234,023€249,589▲
Amounts payable within one year42/48€234,023€249,589▲
Financial debts43-€146,685
Credit institutions430/8-€146,685
Trade debts44€230,005€98,550▼
Suppliers440/4€230,005€98,550▼
Taxes, remuneration and social security45€2,827€4,264▲
Taxes450/3€2,827€585▼
Remuneration and social security454/9€0€3,680▲
Other amounts payable47/48€1,191€90▼
Income statement Code20242025
Operating income70/76A€1.5m€1.3m▼
Turnover70€1.2m€1.1m▼
Other operating income74€244,464€194,593▼
Non-recurring operating income76A€972€0▼
Operating charges60/66A€1.5m€1.4m▼
Services and other goods61€1.2m€1.3m▲
Remuneration, social security and pensions62€232,925€22,636▼
Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets630€41,563€43,459▲
Other operating charges640/8€6,219€2,110▼
Non-recurring operating charges66A€0-
Operating profit (loss)9901-€43,202-€106,729▼
Financial income75/76B€1.0m€1.5m▲
Recurring financial income75€1.0m€1.4m▲
Income from financial fixed assets750€941,009€1.4m▲
Income from current assets751€60,346€0▼
Other financial income752/9€502€1,542▲
Non-recurring financial income76B-€126,127
Financial charges65/66B€54,524€1.8m▲
Recurring financial charges65€54,524€4,509▼
Debt charges650€137€2,522▲
Other financial charges652/9€54,387€1,987▼
Non-recurring financial charges66B-€1.8m
Profit (loss) for the period before taxes9903€904,130-€400,461▼
Income taxes67/77€234,198€188,536▼
Taxes670/3€234,198€188,536▼
Profit (loss) for the period9904€669,932-€588,997▼
Profit (loss) for the period to be appropriated9905€669,932-€588,997▼
Appropriation of the result
Profit (loss) to be appropriated9906€21.1m€20.5m▼
Profit (loss) brought forward from the previous period14P€20.4m€21.1m▲
Transfer to equity691/2€33,497€0▼
To the legal reserve6920€33,497€0▼
Social balance
Average headcount (FTE)90870.80.2▼

The notes to these accounts (57 items: statements of assets and debts, cost breakdowns, rights and commitments) are not shown here.

Line20212022202320242025Change
Operating income70/76A€2.6m€2.9m€2.0m€1.5m€1.3m▼ 15.0%
Turnover70€2.6m€2.9m€1.7m€1.2m€1.1m▼ 13.9%
Other operating income74-€3,900€272,492€244,464€194,593▼ 20.4%
Non-recurring operating income76A---€972€0▼ 100%
Operating charges60/66A€2.6m€2.8m€2.0m€1.5m€1.4m▼ 10.4%
Services and other goods61€2.5m€2.5m€1.4m€1.2m€1.3m▲ 4.3%
Remuneration, social security and pensions62€161,510€367,597€520,745€232,925€22,636▼ 90.3%
Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets630€18,184€18,414€25,236€41,563€43,459▲ 4.6%
Other operating charges640/8€250€395€6,235€6,219€2,110▼ 66.1%
Non-recurring operating charges66A--€52,679€0--
Operating profit (loss)9901€11,805€6,211-€46,604-€43,202-€106,729▼ 147%
Financial income75/76B--€2.6m€1.0m€1.5m▲ 54.3%
Recurring financial income75€1.6m€873,772€2.6m€1.0m€1.4m▲ 41.7%
Income from financial fixed assets750€1.4m€568,366€2.5m€941,009€1.4m▲ 50.7%
Income from current assets751€174,621€296,376-€60,346€0▼ 100%
Other financial income752/9€6,360€9,030€22,249€502€1,542▲ 208%
Non-recurring financial income76B----€126,127-
Financial charges65/66B€39,426€18,658€7,543€54,524€1.8m▲ 3,274%
Recurring financial charges65€39,426€18,658€7,543€54,524€4,509▼ 91.7%
Debt charges650€36,211-€565€137€2,522▲ 1,745%
Other financial charges652/9€3,215€18,658€6,978€54,387€1,987▼ 96.3%
Non-recurring financial charges66B----€1.8m-
Profit (loss) for the period before taxes9903€1.6m€861,325€2.5m€904,130-€400,461▼ 144%
Income taxes67/77€38,122€75,384€230,413€234,198€188,536▼ 19.5%
Taxes670/3€42,468€77,227€230,413€234,198€188,536▼ 19.5%
Tax adjustments and reversals of tax provisions77€4,346€1,843€0---
Profit (loss) for the period9904€1.5m€785,941€2.3m€669,932-€588,997▼ 188%
Profit (loss) for the period to be appropriated9905€1.5m€785,941€2.3m€669,932-€588,997▼ 188%
Line20212022202320242025Change
Assets
Total assets20/58€39.1m€40.2m€41.7m€42.4m€41.9m▼ 1.4%
Fixed assets21/28€34.3m€34.3m€34.5m€36.8m€39.2m▲ 6.6%
Intangible fixed assets21€10,824€380€0---
Tangible fixed assets22/27€25,014€21,676€198,245€172,862€131,731▼ 23.8%
Plant, machinery and equipment23--€46,798€39,312€28,401▼ 27.8%
Furniture and vehicles24€25,014€21,676€151,446€133,550€103,330▼ 22.6%
Financial fixed assets28€34.3m€34.3m€34.3m€36.6m€39.1m▲ 6.7%
Affiliated companies280/1€34.3m€34.3m€34.3m€36.6m€39.1m▲ 6.7%
Participating interests280€16.9m€16.9m€16.9m€16.9m€15.0m▼ 11.1%
Amounts receivable281€17.4m€17.4m€17.4m€19.7m€24.1m▲ 22.0%
Current assets29/58€4.8m€5.9m€7.3m€5.7m€2.7m▼ 53.0%
Stocks and contracts in progress3--€0€0€0-
Amounts receivable within one year40/41€1.9m€3.6m€4.3m€4.4m€699,470▼ 84.2%
Trade receivables40€1.6m€3.4m€2.6m€276,835€299,389▲ 8.1%
Other amounts receivable41€331,027€229,929€1.7m€4.2m€400,082▼ 90.4%
Cash at bank and in hand54/58€2.7m€1.9m€2.0m€222,209€1.1m▲ 403%
Deferred charges and accrued income490/1€177,992€304,290€945,820€1.0m€840,190▼ 16.0%
Equity and liabilities
Total equity and liabilities10/49€39.1m€40.2m€41.7m€42.4m€41.9m▼ 1.4%
Equity10/15€38.5m€39.2m€41.5m€42.2m€41.6m▼ 1.4%
Contributions10/11€20.0m€20.0m€20.0m€20.0m€20.0m=
Capital10€20.0m€20.0m€20.0m€20.0m€20.0m=
Issued capital100€20.0m€20.0m€20.0m€20.0m€20.0m=
Reserves13€924,273€963,570€1.1m€1.1m€1.1m=
Non-distributable reserves130/1€924,273€963,570€1.1m€1.1m€1.1m=
Legal reserve130€924,273€963,570€1.1m€1.1m€1.1m=
Profit (loss) carried forward14€17.5m€18.3m€20.4m€21.1m€20.5m▼ 2.8%
Amounts payable17/49€613,696€910,275€203,799€234,023€249,589▲ 6.7%
Amounts payable within one year42/48€613,696€910,275€203,799€234,023€249,589▲ 6.7%
Financial debts43----€146,685-
Credit institutions430/8----€146,685-
Trade debts44€592,044€388,843€164,012€230,005€98,550▼ 57.2%
Suppliers440/4€592,044€388,843€164,012€230,005€98,550▼ 57.2%
Taxes, remuneration and social security45€21,652€115,217€39,786€2,827€4,264▲ 50.9%
Taxes450/3-€46,981€772€2,827€585▼ 79.3%
Remuneration and social security454/9€21,652€68,236€39,015€0€3,680-
Other amounts payable47/48-€406,215€0€1,191€90▼ 92.5%
Line20212022202320242025Change
Profit (loss) for the period9904€1.5m€785,941€2.3m€669,932-€588,997▼ 188%
+ Depreciation and write-downs630€18,184€18,414€25,236€41,563€43,459▲ 4.6%
Operating cash flow (approximation)€1.6m€804,355€2.3m€711,495-€545,539▼ 177%
Investment in fixed assets (approximation)--€4,632-€201,425-€2.4m-€2.5m▼ 4.3%
Change in cash--€714,059€68,997-€1.8m€894,590▲ 150%

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

Next filing, fiscal year 2026, expected by 31-07-2027
2026
10-08
State Gazette act Resignations: SACHS Louis-Frédéric Emmanuel Marie (director) and PLOUVIER Hubert (managing director)
Appointment: ROH BRAZ Consulting (gewone bestuurder) · Permanent representative: SACHS Louis-Frédéric Emmanuel Marie · Registered-office move11 facts ▸
  • Registered-office move, 2030 Antwerpen, Noorderlaan 79B1
  • Approval, goedkeuring van het verslag van het bestuursorgaan met betrekking tot de voorgestelde wijziging het voorwerp van de vennootschap, artikel 7:154 van het Wetboek…
  • Statutes amendment
  • Director resignation, SACHS Louis-Frédéric Emmanuel Marie (director)
  • Director appointment, ROH BRAZ Consulting (gewone bestuurder)
  • Declaration, de bestuurder en zijn vaste vertegenwoordiger niet onderworpen zijn aan een bestuursverbod
  • Permanent representative, SACHS Louis-Frédéric Emmanuel Marie (permanent representative)
  • Board meeting, met onmiddellijke ingang het ontslag te aanvaarden van de heer PLOUVIER Hubert als gedelegeerd bestuurder en vervolgens als gedelegeerd bestuurder te benoemen d…
  • Director resignation, PLOUVIER Hubert (managing director)
  • Director appointment, ROH BRAZ Consulting (managing director)
  • Declaration, verklaring enige aandeelhouder, artikel 2:8 § 4 van het Wetboek van vennootschappen en verenigingen
24-07
NBB filing Annual accounts filed
fiscal year 2025 · full schema
2025
31-12
Financial Weakest financial yearnet -€588,997
Net result drops to -€588,997, the lowest in the series.
07-10
NBB filing Annual accounts filed
fiscal year 2024 · full schema · 68 days late
2024
12-12
NBB filing Annual accounts filed
fiscal year 2023 · full schema · 134 days late
2023
31-12
Financial Highest result since 2018net €2.3m ▲190%
Net result €2.3m, the highest in the series.
31-12
Financial Liquidity times 6current ratio 35.71
Current ratio from 6.46 to 35.71; short-term debt falls from €910,275 to €203,799.
28-09
NBB filing Annual accounts filed
fiscal year 2022 · consolidated · 31 days late
31-08
NBB filing Annual accounts filed
fiscal year 2022 · full schema · 31 days late
2022
29-08
NBB filing Annual accounts filed
fiscal year 2021 · full schema · 29 days late
29-08
NBB filing Annual accounts filed
fiscal year 2021 · consolidated · 29 days late
2021
23-07
NBB filing Annual accounts filed
fiscal year 2020 · full schema
Show earlier events
23-07
NBB filing Annual accounts filed
fiscal year 2020 · consolidated
2020
02-09
NBB filing Annual accounts filed
fiscal year 2019 · consolidated · 33 days late
2019
31-12
Financial Liquidity triplescurrent ratio 10.03
Current ratio from 3.05 to 10.03; short-term debt falls from €989,349 to €685,390.
Financial milestoneState Gazette actNBB filingFinancial milestones sit on the fiscal year-end date, not the filing date.
1 of 13 acts read
About the unread acts

Of the 13 Belgian State Gazette acts we know for this company, 1 has been read. The other 12 have not been read yet: what they contain is neither established nor disproved here.

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Directors · office · real estate

Directors
1 director, 1 in day-to-day management, last change in 2026

Board 1

ROH BRAZ Consulting
Gewone bestuurder · since 10-07-2026 · Private limited company · perm. rep.: SACHS Louis-Frédéric Emmanuel Marie
Current

Day-to-day management 1

ROH BRAZ Consulting
Managing director · since 10-08-2026 · Private limited company · perm. rep.: SACHS Louis-Frédéric Emmanuel Marie
Current

Permanent representatives 1

SACHS Louis-Frédéric Emmanuel Marie
Permanent representative · since 10-07-2026 · for ROH BRAZ Consulting
Current
Derived from published Gazette acts. The CBE keeps the official list of function holders; we do not read it, so the two can differ. See the function holders in the CBE →
Not every act has been read: a resignation may be missing here
12 of this company's 13 Belgian State Gazette acts have not been read yet. Appointments and resignations recorded in them are missing above: a director who resigned there may therefore still show here as sitting. The acts are in the Timeline.
Location & real-estate footprint
Registered office, Antwerpen · 1 establishment unit since 2008
seat establishment The establishment unit on the map
Ground area
1.0 ha
Building footprint
4,496 m²
Volume, LiDAR
50,522 m³
Parcel 11807G1783/00D000, Flanders · tallest building 16.7 m, ±4 floors. Linked by address, not a title deed.
34 companies at this address See who is registered here
1 establishment unit
Ship.Co
Noorderlaan 79, 2030 AntwerpenFinancial service activities, except insurance and pension funding
since 20082.173.216.803
1 parcel
Flanders 1 (100%)
Parcel (capakey) Region Area Buildings Height / fl.
11807G1783/00D000 Flanders 1.0 ha 1 · 4,496 m² 16.7 m · 4 fl.
Linked by address, not proof of ownership
Good to know
1 of 1 parcel with an exact address match; the rest are indicative.
Linked through address data, this is not proof of ownership.

Mandate history

3 people since 2026, 1 in office
Show
  • Board
  • Day-to-day management
  • began earlier
Mandates per person, with start and end dates
Name Functions and periods
ROH BRAZ Consulting
  • Gewone bestuurder, from 10-07-2026 to date
  • Managing director, from 10-08-2026 to date
Hubert PLOUVIER
  • Managing director, until 10-08-2026
SACHS Louis-Frédéric Emmanuel Marie
  • Director, until 10-07-2026
See the board, name and seat on a given date →

Articles of association

Purpose
Het adviseren van en het ontwikkelen van commerciële activiteiten met alsmede het verlenen van bijstand aan vennootschappen; Het exploiteren van, het deelnemen in, het voeren van…
Full purpose (12 activities)
  1. Het adviseren van en het ontwikkelen van commerciële activiteiten met alsmede het verlenen van bijstand aan vennootschappen
  2. Het exploiteren van, het deelnemen in, het voeren van het beheer en de directie over, het financieren van, het samengaan en het samenwerken met andere ondernemingen, vennootschappen en rechtspersonen, dit alles eventueel onder de vorm van een adviesverlening, het verstrekken van opleidingen of andere
  3. Het deelnemen in het management en bestuur van om het even welke ondernemingen en vennootschappen
  4. Het investeren in vermogenswaarden en het beleggen van vermogen, het verkrijgen, vervreemden, beheren, huren, verhuren en op andere wijze exploiteren en in gebruik of genot geven of verkrijgen van vermogensrechten, roerende en onroerende zaken
  5. Het zich borg stellen voor derden
  6. Het aantrekken van externe financiering
  7. Het zich sterk maken voor de nakoming van verplichtingen van derden en het zich als mededebiteur verbinden
  8. Het verrichten van alle overige activiteiten van financiële of commerciële aard ten behoeve van vennootschappen en ondernemingen waarmee zij een groep vormt
  9. Voorts het verrichten van alle overige werkzaamheden op financieel, industrieel en commercieel gebied welke met vorenstaand verband houden of daartoe bevorderlijk kunnen zijn, alles in de ruimste zin genomen
  10. Het uitvoeren en/of het laten uitvoeren van alle transporten, door alle middelen, zonder beperking, met inbegrip van het kopen, verkopen, huren, verhuren, het beheer, de uitbating, de agentuur en de bevrachting van al het daarmee verbonden materiaal en bijbehoren; de expeditie in al haar aspecten met inbegrip van de douaneagentuur en verzekeringsmakelarij, de goederenbehandeling in al haar vormen, inclusief havenarbeid, zoals natie en stuwadooractiviteit
  11. Het beheer, de consignatie en de opslag van alle goederen en producten; alle commerciële, roerende, onroerende, industriële, economische, administratieve en financiële verrichtingen, met inbegrip van het stellen van borgen, die rechtstreeks of onrechtstreeks bij het voorwerp aansluiten
  12. De adviesverlening, audit, expertise, consultancy, administratie, tekstverwerking, beheer, studie, organisatie en management aan/van de hiervoor vermelde ondernemingen, vennootschappen en rechtspersonen, zowel inzake commerciële, juridische, operationele en financiële aangelegenheden, met uitzondering van deze activiteiten welke zijn onderworpen aan reglementaire bepalingingen
Board rule

Structure & network

Heads the group PLOUVIER GROUP 3 companies Group, risk and exposure

Owners and holdings

3 holdings

Owners 0

The accounts to 31-12-2025 list no shareholders, and no other source names one.

Holdings 3

According to the 2025 annual accounts of PLOUVIER GROUP and those of the other companies, the acts in the Belgian Gazette and the LEI register. The register of ultimate beneficial owners (UBO) is not public: who ultimately stands behind a natural person or a foreign parent is not stated here. A company that does not fill in these statements, or need not, is missing.

Connections & network

1 current director
Depth

The group is listed under Ownership & control below; here you explore it as a network.

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Public money · subsidies and aid

Flemish government

2022 to 2023 · 2 entries · 381 EUR awarded · 381 EUR paid
Year Entries awardedpaid
2023 1 189 EUR189 EUR
2022 1 192 EUR192 EUR
Schemes
2 entries · 381 EUR · 381 EUR paid · Fonds voor Innoveren en Ondernemen

Recognitions · licences · registrations

Legal Entity Identifier

549300QHILKMI7PETR28
live in the LEI register

Similar companies · same sector, comparable size

Of 82,641 companies in sector 70200 we hold annual accounts for 52,636. 2,286 are within a factor 10 of this equity. The 5 above are the closest to it. See the whole sector

Identification & contact

Identification
Legal formPublic limited company
Founded16-09-2008
Fiscal year end31-12
Activities, NACEBEL 2025
64210Activities of holding companies
70200Business and other management consultancy
E-invoicing
Reachable via Peppol
Peppol ID 0208:0806429690
Also 9925:BE0806429690
Registered 09-02-2026

If you follow this company, Checked tells you the day it leaves the Peppol register.

Register as of 29 September 2026 · Peppol Directory

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