Checked.be · Company dossierhttps://checked.be/en/c/yaspar-0823115670 · as of 06-10-2026
YASPAR
Active
Limited partnership · founded 2010 · 16 yrs activeMartin Lindekensstraat 40, 1150 Sint-Pieters-Woluwe, BelgiumKBO/BCE: BE 0823.115.670
Summary
YASPAR has been active since 2010 and the Belgian State Gazette contains no insolvency or warning signals. The 2012 annual accounts show negative equity (-€4,732) and a net result of -€23,982. The computed 12-month bankruptcy probability is 0.6% (low).
Signals- Figures for FY 2012 (filed 13-03-2013)+ Sector Activities of head offices; management consultancy activities (NACE 70)+ Liquidity: current ratio 0.78, cash €34,671+ Size: total assets €83,782No filing for yearsLatest accounts filed on timeShow the evidence
Checked score
No current score
Checked score
A figure from 0 to 100 for financial health from the latest annual accounts: the higher, the healthier. Without a figure, the card says why. A low score is a reason to look closely at payment terms and security.
Figures too old
The available figures for FY 2012 are too old to assess current financial health.
Filing: Five or more filing cycles are missing. This points to a standstill, not an imminent failure.
Financial strength, FY 2012 · tick = 2011
Financial strength
How strong the balance sheet and results are, apart from the score: solvency, liquidity and profitability from the latest accounts, each out of 100. The score itself is the bankruptcy probability.
Weak
Solvency19-25
equity -5.6% of total assets
Liquidity50-14
short-term debt 99.3% · cash 41.4%
Profitability0-73
return on assets -28.6%
Bankruptcy probability, 12 months
Bankruptcy probability
The chance that this company goes bankrupt within twelve months. A low chance is reassuring; with a higher one, agree shorter payment terms or an advance.
0.6%Low
0%0.5%1.5%4%10%≥ 25%
About 6 in 1,000 comparable companies go bankrupt within 12 months (an estimate).
Sector median 0.1% (48,265 companies)
Last 24 months11-2024: 0.6%lowest value12-2024: 0.6%● 0.0% vs 11-2024lowest value01-2025: 0.6%● 0.0% vs 12-2024lowest value02-2025: 0.6%● 0.0% vs 01-2025lowest value03-2025: 0.6%● 0.0% vs 02-2025lowest value04-2025: 0.6%● 0.0% vs 03-2025lowest value05-2025: 0.6%● 0.0% vs 04-2025lowest value06-2025: 0.6%● 0.0% vs 05-2025lowest value07-2025: 0.6%● 0.0% vs 06-2025lowest value08-2025: 0.6%▲ +2.2% vs 07-2025highest value09-2025: 0.6%● 0.0% vs 08-2025highest value10-2025: 0.6%● 0.0% vs 09-2025highest value11-2025: 0.6%● 0.0% vs 10-2025highest value12-2025: 0.6%● 0.0% vs 11-2025highest value01-2026: 0.6%● 0.0% vs 12-2025highest value02-2026: 0.6%● 0.0% vs 01-2026highest value03-2026: 0.6%● 0.0% vs 02-2026highest value04-2026: 0.6%● 0.0% vs 03-2026highest value05-2026: 0.6%● 0.0% vs 04-2026highest value06-2026: 0.6%● 0.0% vs 05-2026highest value07-2026: 0.6%● 0.0% vs 06-2026highest value08-2026: 0.6%● 0.0% vs 07-2026highest value09-2026: 0.6%● 0.0% vs 08-2026highest value10-2026: 0.6%● 0.0% vs 09-2026highest value
Sector Activities of head offices; management consultancy activities (NACE 70)lowers the probability
Figures for FY 2012 (filed 13-03-2013)raises the probability
Liquidity: current ratio 0.78, cash €34,671lowers the probability
Size: total assets €83,782lowers the probability for this profile