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COMET TRAITEMENTS

Active
Public limited companyfounded 200224 yrs activeRivage de Boubier 25, 6200 Châtelet, BelgiumKBO/BCE: BE 0477.841.596
Summary

COMET TRAITEMENTS has been active since 2002 and the Belgian State Gazette contains no insolvency or warning signals. The 2025 annual accounts show equity of €46.34M and a net result of €2.08M. Equity is growing by ~9.9% per year across the filed fiscal years. Its solvency ranks better than 55% of 230 sector peers (fiscal year 2025). The computed 12-month bankruptcy probability is 0.4% (very low).

Checked score

Score 2025
Axes · tick = 2024
Profitability69▼-3
Solvency70▲+3
Growth57▼-18
Track record100
Bankruptcy probability, 12 months
0.4% Very low
0%0.5%1.5%4%10%≥ 25%
Credit up to €2M at 30 days acceptable
Liquidity ample (current ratio 1.5 against 1.53 in 2024; short-term debt: 33.4% and cash: 6% of total assets), but 55.5% of the assets are financed with debt.
Credit check for your own amount and term

Signals

Seven signals. The signal on the left, the evidence on the right.
−lowers risk+raises risk○neutral
raises risk · Multiple establishment units
Several establishment units mean more fixed costs, and such companies fail more often than a company with one establishment.
KBO · establishment units
lowers risk · Annual accounts: healthy financial profile
The latest annual accounts show a healthy profile in solvency, result and liquidity.
NBB · annual accounts 2025
Solvency, return and age of the figures
Solvency
44.5%
Return on assets
2%
Age of the figures
9 mo
lowers risk · Long track record
A company with a long track record statistically fails less often than a young one.
KBO · incorporation date
Age against the risk zone
highest failure risk from 2 to 8 years 24 years 0 30 y
lowers risk · Lower-risk legal form
Companies with this legal form statistically fail less often than a BV.
KBO · legal form
raises risk · Higher-failure-rate region
In this region companies fail more often than in the rest of the country.
KBO · registered office
raises risk · Higher-failure-rate sector
In this sector companies fail more often than the Belgian average.
Gazette · bankruptcies per sector, NACE 38
Relative position
BE, all sectors
reference
Waste collection, recovery and disposal activities (NACE 38)
about 10% more bankruptcies
← fewer bankruptcies more bankruptcies →
neutral · A punctual record breaks
This company filed 9 consecutive financial years on time. The year that closed on 31-12-2025 was due by 31-07-2026 and was filed on 10-09-2026, 41 days late. Weigh it accordingly: a break into the 1-to-90-day band measures 1.41% abnormal legal state, below the 1.66% market average. It is a change in behaviour, not evidence of elevated risk.
NBB · 10 filings
Deviation from the deadline
2025
41 d late
2024
21 d early
2023
15 d early
2022
27 d early
2021
53 d early
2020
54 d early
2019
38 d early
← before the deadline after the deadline →
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.
Companies Code · seven months
Position in the running window
25-09-2026 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

Financials · fiscal year 2025, full schema

Turnover
€81.51M▲ 3.9%
2024 · €78.43M
2018: €42.19Mlowest in 8 years 2019: €51.47M▲ +22.0% vs 2018 2020: €46.68M▼ -9.3% vs 2019 2021: €67.80M▲ +45.2% vs 2020 2022: €79.07M▲ +16.6% vs 2021 2023: €67.13M▼ -15.1% vs 2022 2024: €78.43M▲ +16.8% vs 2023 2025: €81.51M▲ +3.9% vs 2024highest in 8 years
2018 → 2025
EBIT margin
2.3%▼ 1.5pp
2024 · 3.7%
2018: 6.0% 2019: 3.4%▼ -43.9% vs 2018 2020: 5.9%▲ +74.4% vs 2019 2021: 10.6%▲ +81.5% vs 2020highest in 8 years 2022: 10.5%▼ -1.2% vs 2021 2023: 5.0%▼ -52.0% vs 2022 2024: 3.7%▼ -26.1% vs 2023 2025: 2.3%▼ -39.4% vs 2024lowest in 8 years
2018 → 2025
Net result
€2.08M▼ 31.0%
2024 · €3.02M
2018: €2.52M 2019: €2.57M▲ +1.8% vs 2018 2020: €3.06M▲ +19.3% vs 2019 2021: €6.85M▲ +124% vs 2020 2022: €9.84M▲ +43.6% vs 2021highest in 8 years 2023: €3.72M▼ -62.1% vs 2022 2024: €3.02M▼ -19.0% vs 2023 2025: €2.08M▼ -31.0% vs 2024lowest in 8 years
2018 → 2025
Working capital
€17.55M▲ 1.1%
2024 · €17.36M
2018: €13.87M 2019: €19.72M▲ +42.1% vs 2018 2020: €21.93M▲ +11.2% vs 2019highest in 8 years 2021: €19.97M▼ -8.9% vs 2020 2022: €13.67M▼ -31.5% vs 2021 2023: €11.31M▼ -17.3% vs 2022lowest in 8 years 2024: €17.36M▲ +53.6% vs 2023 2025: €17.55M▲ +1.1% vs 2024
2018 → 2025
Trend over the years
Multi-year overview
Every figure with its change against the year before
▲ rise ▼ fall
Line20212022202320242025Trend
Turnover€67.80M-€79.07M▲ 16.6%€67.13M▼ 15.1%€78.43M▲ 16.8%€81.51M▲ 3.9% 2021: €67.80M 2022: €79.07M▲ +16.6% vs 2021 2023: €67.13M▼ -15.1% vs 2022lowest in 5 years 2024: €78.43M▲ +16.8% vs 2023 2025: €81.51M▲ +3.9% vs 2024highest in 5 years
Equity€34.68M-€41.66M▲ 20.1%€44.41M▲ 6.6%€44.64M▲ 0.5%€46.34M▲ 3.8% 2021: €34.68Mlowest in 5 years 2022: €41.66M▲ +20.1% vs 2021 2023: €44.41M▲ +6.6% vs 2022 2024: €44.64M▲ +0.5% vs 2023 2025: €46.34M▲ +3.8% vs 2024highest in 5 years
Operating result€7.22M-€8.31M▲ 15.2%€3.39M▼ 59.2%€2.93M▼ 13.6%€1.84M▼ 37.1% 2021: €7.22M 2022: €8.31M▲ +15.2% vs 2021highest in 5 years 2023: €3.39M▼ -59.2% vs 2022 2024: €2.93M▼ -13.6% vs 2023 2025: €1.84M▼ -37.1% vs 2024lowest in 5 years
Net result€6.85M-€9.84M▲ 43.6%€3.72M▼ 62.1%€3.02M▼ 19.0%€2.08M▼ 31.0% 2021: €6.85M 2022: €9.84M▲ +43.6% vs 2021highest in 5 years 2023: €3.72M▼ -62.1% vs 2022 2024: €3.02M▼ -19.0% vs 2023 2025: €2.08M▼ -31.0% vs 2024lowest in 5 years
Result per fiscal year
Operating resultNet result
€0€2.50M€5.00M€7.50M€10.00MOperating result 2021: €7.22M€7.22MNet result 2021: €6.85M€6.85MOperating result 2022: €8.31M€8.31MNet result 2022: €9.84M€9.84MOperating result 2023: €3.39M€3.39MNet result 2023: €3.72M€3.72MOperating result 2024: €2.93M€2.93MNet result 2024: €3.02M€3.02MOperating result 2025: €1.84M€1.84MNet result 2025: €2.08M€2.08M20212022202320242025€0€1M€2M€3M€4MOperating result 2023: €3.39M€3.4MNet result 2023: €3.72M€3.7MOperating result 2024: €2.93M€2.9MNet result 2024: €3.02M€3MOperating result 2025: €1.84M€1.8MNet result 2025: €2.08M€2.1M202320242025
The operating result has fallen three years in a row; 2025 is 37% below 2024 and is the lowest result in the available series.
Balance-sheet composition
2025 in colour, 2024 as the grey bar beneath
Assets €104.09M
Fixed assets €51.76M ▼ 6.6%
Current assets €52.33M ▲ 4.7%
Equity and liabilities €104.09M
Equity €46.34M ▲ 3.8%
Debt €57.75M ▼ 5.0%
Debt's share of the balance-sheet total falls from 57.7% to 55.5%. Equity is higher and debt is lower.
Key figures and ratios
2025 value · change against 2024
EBITDA
€9.37M▼
2024 · €10.29M
Cash flow
€9.61M▼
2024 · €10.38M
Current ratio
1.50▼
2024 · 1.53
Quick ratio
0.91▼
2024 · 0.99
Debt to equity
1.25▼
2024 · 1.36
ROE
4.5%▼
2024 · 6.8%
ROA
2.0%▼
2024 · 2.9%
Interest coverage
10.51▼
2024 · 15.57
Debt ≤ 1 year
€34.78M▲
2024 · €32.64M
Debt > 1 year
€22.35M▼
2024 · €27.73M
Income taxes
€18k▼
2024 · €190k
Staff costs
€14.16M▲
2024 · €13.11M
Green means a favourable move, even when the figure itself falls: as with debt or debt to equity.
Filed annual accounts As filed with the NBB · 2025 against 2024 · 91 lines
Balance sheet Code20242025
Assets
Total assets20/58€105.41M€104.09M▼
Fixed assets21/28€55.40M€51.76M▼
Intangible fixed assets21€1.86M€1.62M▼
Tangible fixed assets22/27€53.54M€50.14M▼
Land and buildings22€10.02M€18.07M▲
Plant, machinery and equipment23€10.18M€28.05M▲
Furniture and vehicles24€2.52M€2.31M▼
Leasing and similar rights25€370k€299k▼
Assets under construction and advance payments27€30.45M€1.41M▼
Financial fixed assets28€7k€7k▼
Companies linked by participating interests282/3€5k€5k=
Participating interests282€5k€5k=
Other financial fixed assets284/8€2k€2k▼
Shares284€2k€2k=
Amounts receivable and cash guarantees285/8€400€382▼
Current assets29/58€50.00M€52.33M▲
Stocks and contracts in progress3€17.81M€20.82M▲
Stocks30/36€17.81M€20.82M▲
Goods purchased for resale34€17.81M€20.82M▲
Amounts receivable within one year40/41€14.54M€15.98M▲
Trade receivables40€10.87M€14.22M▲
Other amounts receivable41€3.67M€1.76M▼
Current investments50/53€8.87M€8.87M=
Own shares50€8.87M€8.87M=
Cash at bank and in hand54/58€8.75M€6.27M▼
Deferred charges and accrued income490/1€26k€394k▲
Equity and liabilities
Total equity and liabilities10/49€105.41M€104.09M▼
Equity10/15€44.64M€46.34M▲
Contributions10/11€2.00M€2.00M=
Capital10€2.00M€2.00M=
Issued capital100€2.00M€2.00M=
Reserves13€40.19M€39.27M▼
Non-distributable reserves130/1€9.07M€9.07M=
Legal reserve130€200k€200k=
Own shares acquired1312€8.87M€8.87M=
Distributable reserves133€31.12M€30.20M▼
Investment grants15€2.45M€5.07M▲
Amounts payable17/49€60.77M€57.75M▼
Amounts payable after more than one year17€27.73M€22.35M▼
Financial debts170/4€27.73M€22.35M▼
Leasing and similar obligations172€250k€176k▼
Credit institutions173€27.47M€22.17M▼
Amounts payable within one year42/48€32.64M€34.78M▲
Current portion of amounts payable after more than one year42€7.49M€8.14M▲
Financial debts43-€3.50M
Credit institutions430/8-€3.50M
Trade debts44€15.18M€12.44M▼
Suppliers440/4€15.18M€12.44M▼
Advances received on contracts in progress46€695k€3.27M▲
Taxes, remuneration and social security45€1.98M€1.85M▼
Taxes450/3€93k€79k▼
Remuneration and social security454/9€1.89M€1.77M▼
Other amounts payable47/48€7.29M€5.59M▼
Accrued charges and deferred income492/3€403k€620k▲
Income statement Code20242025
Operating income70/76A€84.37M€87.12M▲
Turnover70€78.43M€81.51M▲
Other operating income74€5.66M€5.49M▼
Non-recurring operating income76A€281k€121k▼
Operating charges60/66A€81.45M€85.28M▲
Goods for resale, raw materials and consumables60€39.76M€41.14M▲
Purchases600/8€43.00M€44.14M▲
Change in stocks: decrease (increase)609€-3.24M€-3.00M▲
Services and other goods61€21.11M€22.21M▲
Remuneration, social security and pensions62€13.11M€14.16M▲
Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets630€7.36M€7.53M▲
Write-downs on stocks, contracts in progress and trade receivables: additions (reversals)631/4€40k-
Provisions for liabilities and charges: additions (uses and reversals)635/8€-176k-
Other operating charges640/8€225k€229k▲
Non-recurring operating charges66A€16k€15k▼
Operating profit (loss)9901€2.93M€1.84M▼
Financial income75/76B€1.16M€2.14M▲
Recurring financial income75€1.16M€2.14M▲
Income from current assets751€18k€82k▲
Other financial income752/9€1.15M€2.06M▲
Financial charges65/66B€884k€1.89M▲
Recurring financial charges65€884k€1.89M▲
Debt charges650€661k€892k▲
Other financial charges652/9€223k€994k▲
Profit (loss) for the period before taxes9903€3.21M€2.10M▼
Income taxes67/77€190k€18k▼
Taxes670/3€190k€18k▼
Profit (loss) for the period9904€3.02M€2.08M▼
Profit (loss) for the period to be appropriated9905€3.02M€2.08M▼
Appropriation of the result
Profit (loss) to be appropriated9906€3.02M€2.08M▼
Transfer from equity791/2-€920k
From reserves792-€920k
Transfer to equity691/2€1.12M-
To other reserves6921€1.12M-
Profit to be distributed694/7€1.90M€3.00M▲
Return on contributions (dividend)694€1.90M€3.00M▲
Social balance
Average headcount (FTE)9087173.7174.9▲

The notes to these accounts (87 items: statements of assets and debts, cost breakdowns, rights and commitments) are not shown here.

Accounts by statement
Line20212022202320242025Change
Operating income70/76A€70.69M€82.40M€71.81M€84.37M€87.12M▲ 3.3%
Turnover70€67.80M€79.07M€67.13M€78.43M€81.51M▲ 3.9%
Other operating income74€2.64M€3.26M€4.63M€5.66M€5.49M▼ 3.1%
Non-recurring operating income76A€255k€73k€46k€281k€121k▼ 57.0%
Operating charges60/66A€63.48M€74.09M€68.43M€81.45M€85.28M▲ 4.7%
Goods for resale, raw materials and consumables60€35.31M€40.91M€31.91M€39.76M€41.14M▲ 3.5%
Purchases600/8€34.54M€41.15M€40.21M€43.00M€44.14M▲ 2.7%
Change in stocks: decrease (increase)609€776k€-243k€-8.30M€-3.24M€-3.00M▲ 7.4%
Services and other goods61€14.13M€17.78M€18.42M€21.11M€22.21M▲ 5.2%
Remuneration, social security and pensions62€8.28M€9.46M€11.78M€13.11M€14.16M▲ 8.0%
Depreciation of and write-downs on formation expenses, intangible and tangible fixed assets630€4.95M€5.71M€7.05M€7.36M€7.53M▲ 2.3%
Write-downs on stocks, contracts in progress and trade receivables: additions (reversals)631/4€133k€51k€-560k€40k--
Provisions for liabilities and charges: additions (uses and reversals)635/8€444k€-81k€-447k€-176k--
Other operating charges640/8€211k€207k€224k€225k€229k▲ 1.5%
Non-recurring operating charges66A€18k€51k€48k€16k€15k▼ 7.0%
Operating profit (loss)9901€7.22M€8.31M€3.39M€2.93M€1.84M▼ 37.1%
Financial income75/76B€1.15M€1.60M€1.35M€1.16M€2.14M▲ 84.2%
Recurring financial income75€1.15M€1.60M€1.35M€1.16M€2.14M▲ 84.2%
Income from current assets751€11k€329€2k€18k€82k▲ 363%
Other financial income752/9€1.14M€1.60M€1.35M€1.15M€2.06M▲ 79.9%
Financial charges65/66B€454k€408k€743k€884k€1.89M▲ 113%
Recurring financial charges65€454k€408k€743k€884k€1.89M▲ 113%
Debt charges650€227k€324k€599k€661k€892k▲ 35.0%
Other financial charges652/9€227k€84k€144k€223k€994k▲ 346%
Profit (loss) for the period before taxes9903€7.91M€9.50M€3.99M€3.21M€2.10M▼ 34.6%
Income taxes67/77€1.06M€-335k€269k€190k€18k▼ 90.7%
Taxes670/3€1.06M€296k€269k€190k€18k▼ 90.7%
Tax adjustments and reversals of tax provisions77-€630k----
Profit (loss) for the period9904€6.85M€9.84M€3.72M€3.02M€2.08M▼ 31.0%
Profit (loss) for the period to be appropriated9905€6.85M€9.84M€3.72M€3.02M€2.08M▼ 31.0%
Line20212022202320242025Change
Assets
Total assets20/58€66.89M€91.81M€97.41M€105.41M€104.09M▼ 1.2%
Fixed assets21/28€29.93M€53.31M€58.61M€55.40M€51.76M▼ 6.6%
Intangible fixed assets21€4.18M€3.13M€2.16M€1.86M€1.62M▼ 12.7%
Tangible fixed assets22/27€25.72M€50.15M€56.41M€53.54M€50.14M▼ 6.4%
Land and buildings22€8.28M€7.80M€10.98M€10.02M€18.07M▲ 80.3%
Plant, machinery and equipment23€5.09M€5.51M€12.20M€10.18M€28.05M▲ 176%
Furniture and vehicles24€1.51M€1.31M€3.10M€2.52M€2.31M▼ 8.6%
Leasing and similar rights25€442k€326k€194k€370k€299k▼ 19.1%
Assets under construction and advance payments27€10.40M€35.20M€29.94M€30.45M€1.41M▼ 95.4%
Financial fixed assets28€32k€32k€33k€7k€7k▼ 0.3%
Companies linked by participating interests282/3€5k€5k€5k€5k€5k=
Participating interests282€5k€5k€5k€5k€5k=
Other financial fixed assets284/8€28k€28k€28k€2k€2k▼ 0.7%
Shares284€2k€2k€2k€2k€2k=
Amounts receivable and cash guarantees285/8€26k€26k€26k€400€382▼ 4.4%
Current assets29/58€36.95M€38.50M€38.80M€50.00M€52.33M▲ 4.7%
Stocks and contracts in progress3€5.46M€5.65M€14.57M€17.81M€20.82M▲ 16.9%
Stocks30/36€5.46M€5.65M€14.57M€17.81M€20.82M▲ 16.9%
Goods purchased for resale34€5.46M€5.65M€14.57M€17.81M€20.82M▲ 16.9%
Amounts receivable within one year40/41€8.77M€12.86M€9.23M€14.54M€15.98M▲ 9.9%
Trade receivables40€6.98M€10.51M€6.97M€10.87M€14.22M▲ 30.8%
Other amounts receivable41€1.79M€2.35M€2.26M€3.67M€1.76M▼ 52.1%
Current investments50/53€2.23M€8.87M€8.88M€8.87M€8.87M=
Own shares50-€8.87M€8.87M€8.87M€8.87M=
Other investments51/53€2.23M€150€9k---
Cash at bank and in hand54/58€20.34M€11.03M€6.08M€8.75M€6.27M▼ 28.3%
Deferred charges and accrued income490/1€155k€94k€41k€26k€394k▲ 1,405%
Equity and liabilities
Total equity and liabilities10/49€66.89M€91.81M€97.41M€105.41M€104.09M▼ 1.2%
Equity10/15€34.68M€41.66M€44.41M€44.64M€46.34M▲ 3.8%
Contributions10/11€2.00M€2.00M€2.00M€2.00M€2.00M=
Capital10€2.00M€2.00M€2.00M€2.00M€2.00M=
Issued capital100€2.00M€2.00M€2.00M€2.00M€2.00M=
Reserves13€30.22M€37.55M€39.08M€40.19M€39.27M▼ 2.3%
Non-distributable reserves130/1€200k€9.07M€9.07M€9.07M€9.07M=
Legal reserve130€200k€200k€200k€200k€200k=
Own shares acquired1312-€8.87M€8.87M€8.87M€8.87M=
Distributable reserves133€30.02M€28.48M€30.00M€31.12M€30.20M▼ 3.0%
Investment grants15€2.46M€2.11M€3.33M€2.45M€5.07M▲ 107%
Provisions and deferred taxes16€705k€623k€176k---
Provisions for liabilities and charges160/5€705k€623k€176k---
Other liabilities and charges164/5€705k€623k€176k---
Amounts payable17/49€31.51M€49.53M€52.82M€60.77M€57.75M▼ 5.0%
Amounts payable after more than one year17€14.48M€24.55M€25.08M€27.73M€22.35M▼ 19.4%
Financial debts170/4€14.48M€24.55M€25.08M€27.73M€22.35M▼ 19.4%
Subordinated loans170€913k€498k€72k---
Leasing and similar obligations172€130k€55k€136k€250k€176k▼ 29.9%
Credit institutions173€13.43M€24.00M€24.88M€27.47M€22.17M▼ 19.3%
Amounts payable within one year42/48€16.98M€24.83M€27.49M€32.64M€34.78M▲ 6.6%
Current portion of amounts payable after more than one year42€3.20M€4.46M€6.51M€7.49M€8.14M▲ 8.6%
Financial debts43-€184k--€3.50M-
Credit institutions430/8-€184k--€3.50M-
Trade debts44€9.65M€13.87M€11.14M€15.18M€12.44M▼ 18.1%
Suppliers440/4€9.65M€13.87M€11.14M€15.18M€12.44M▼ 18.1%
Advances received on contracts in progress46---€695k€3.27M▲ 371%
Taxes, remuneration and social security45€1.36M€1.52M€1.81M€1.98M€1.85M▼ 6.7%
Taxes450/3€51k€62k€109k€93k€79k▼ 14.4%
Remuneration and social security454/9€1.31M€1.46M€1.70M€1.89M€1.77M▼ 6.4%
Other amounts payable47/48€2.76M€4.80M€8.03M€7.29M€5.59M▼ 23.3%
Accrued charges and deferred income492/3€51k€155k€246k€403k€620k▲ 54.0%
Line20212022202320242025Change
Profit (loss) for the period9904€6.85M€9.84M€3.72M€3.02M€2.08M▼ 31.0%
+ Depreciation and write-downs630€4.95M€5.71M€7.05M€7.36M€7.53M▲ 2.3%
Operating cash flow (approximation)€11.80M€15.54M€10.77M€10.38M€9.61M▼ 7.4%
Investment in fixed assets (approximation)-€-29.09M€-12.34M€-4.16M€-3.89M▲ 6.4%
Change in cash-€-9.32M€-4.94M€2.67M€-2.48M▼ 193%

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
10-09
NBB filing Annual accounts filed
fiscal year 2025 · full schema · 41 days late
30-07
State Gazette act Resignations: BAREEL Pierre-François, DEMOULIN Hervé and 5 others
Appointments: COMPAGNIE BELGE DE PARTICIPATIONS INDUSTRIELLES ET IMMOBILIERES SA, GROSJEAN Aurore and 6 others · Permanent representatives: GROSJEAN Philippe, FONTAINE François and BOUCHAT Olivier · Capital30 facts ▸
  • General meeting, 16 juillet 2026
  • Capital, €2.000.000
  • Statutes amendment
  • Director resignation, BAREEL Pierre-François (director and managing director)
  • Director resignation, DEMOULIN Hervé (director)
  • Director resignation, GROSJEAN Aurore (director)
  • Director resignation, GROSJEAN Maxime (director)
  • Director resignation, COMPAGNIE BELGE DE PARTICIPATIONS INDUSTRIELLES ET IMMOBILIERES SA (director)
  • Director resignation, SPARAXIS SA (director)
  • Director resignation, SOCIETE FEDERALE DE PARTICIPATIONS ET D'INVESTISSEMENT SA (director)
  • Director appointment, COMPAGNIE BELGE DE PARTICIPATIONS INDUSTRIELLES ET IMMOBILIERES SA (class A director)
  • Permanent representative, GROSJEAN Philippe
  • +18 further facts in this act
2025
31-12
Financial Weakest financial yearnet €2.08M ▼31%
Net result drops to €2.08M, the lowest in the series.
10-07
NBB filing Annual accounts filed
fiscal year 2024 · full schema
2024
16-07
NBB filing Annual accounts filed
fiscal year 2023 · full schema
2023
04-07
NBB filing Annual accounts filed
fiscal year 2022 · full schema
2022
31-12
Financial Highest result since 2018net €9.84M ▲43.6%
Operating result €8.31M, net result €9.84M, both a record.
08-06
NBB filing Annual accounts filed
fiscal year 2021 · full schema
2021
07-06
NBB filing Annual accounts filed
fiscal year 2020 · full schema
2020
31-12
Financial Equity above €25MEq €27.79M ▲14.9%
3 profitable years in a row build equity to €27.79M.
23-06
NBB filing Annual accounts filed
fiscal year 2019 · full schema
2019
17-06
NBB filing Annual accounts filed
fiscal year 2018 · full schema
2018
11-06
NBB filing Annual accounts filed
fiscal year 2017 · full schema
2017
06-06
NBB filing Annual accounts filed
fiscal year 2016 · full schema
Financial milestoneState Gazette actNBB filingFinancial milestones sit on the fiscal year-end date, not the filing date.
1 of 20 acts read
About the unread acts

Of the 20 Belgian State Gazette acts we know for this company, 1 has been read. The other 19 have not 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
under verification, last change in 2026
This board is reconstructed from a single act (26349574). A Gazette act generally publishes only CHANGES, not a full roll call, so directors unchanged since then may be missing here. The KBO register holds the complete list of function holders.
COMPAGNIE BELGE DE PARTICIPATIONS INDUSTRIELLES ET IMMOBILIERES
Class A director · since 16-07-2026 · Public limited company · perm. rep.: GROSJEAN Philippe
Current
GROSJEAN Aurore
Class A director · since 16-07-2026
Current
GROSJEAN Charlotte
Class A director · since 16-07-2026
Current
GROSJEAN Maxime
Class A director · since 16-07-2026
Current
Pierre-François Bareel
Managing director · since 16-07-2026
Current
Sabine Colson
Observateur · since 16-07-2026
Current
2 other directors
SOCIETE FEDERALE DE PARTICIPATIONS ET D'INVESTISSEMENT
Class B director · since 16-07-2026 · Public limited company · perm. rep.: FONTAINE François
Current
SPARAXIS
Class B director · since 16-07-2026 · Public limited company · perm. rep.: BOUCHAT Olivier
Current
16-07-2026 COMPAGNIE BELGE DE PARTICIPATIONS INDUSTRIELLES ET IMMOBILIERES: Resigned as Director
16-07-2026 COMPAGNIE BELGE DE PARTICIPATIONS INDUSTRIELLES ET IMMOBILIERES: Appointed as Class A director
16-07-2026 COMPAGNIE BELGE DE PARTICIPATIONS INDUSTRIELLES ET IMMOBILIERES: Appointed as Chair of the board
16-07-2026 GROSJEAN Aurore: Resigned as Director
16-07-2026 GROSJEAN Aurore: Appointed as Class A director
Full history in the Timeline (17 changes) →
Not every act has been read: a resignation may be missing here
19 of this company's 20 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, Châtelet · 3 establishment units since 2002
seat establishment All 3 establishment units on the map
Ground area
4.4 ha
Building footprint
5,716 m²
Volume, LiDAR
59,513 m³
3 parcels, Wallonia · tallest building 23.6 m, ±4 floors. Linked by address, not a title deed.
15 companies at this address See who is registered here
3 establishment units
Rivage de Boubier 25, 6200 Châtelet
NACE 37200
since 20022.131.722.874
COMET TRAITEMENTS
Chemin du Pont d'Haine(O) 13, 7034 MonsWaste collection, recovery and disposal activities
since 20092.232.247.637
COMET TRAITEMENTS
Pavé du Roeulx(S-B) 200, 7110 La LouvièreWaste collection, recovery and disposal activities
since 20222.337.975.162
3 parcels
Wallonia 3 (100%)
Parcel (capakey) Region Area Buildings Height / fl.
55042A0117/00A000 Wallonia 3.5 ha 1 · 4,437 m² 23.6 m · 4 fl.
53062C0245/00F002 Wallonia 6,779 m² 1 · 174 m² 8.7 m · 2 fl.
52012A1290/00S004 Wallonia 2,873 m² 1 · 1,106 m² 8.8 m · 3 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.

Articles of association

Purpose
La société a pour objet le traitement, la valorisation et le recyclage de déchets provenant de broyage ou de toute autre opération industrielle, la conception et la mise au point…
Full purpose

La société a pour objet le traitement, la valorisation et le recyclage de déchets provenant de broyage ou de toute autre opération industrielle, la conception et la mise au point de tous procédés et de toutes installations de ces traitement et recyclage. La société peut faire toutes opérations mobilières ou immobilières, tant pour son compte que pour le compte de tiers. Elle peut également exercer toutes activités en matière de services au profit de tiers et constituer des garanties personnelles ou réelles au profit de ces tiers, personnes physiques ou morales. Elle a aussi pour objet, l'étude, l'organisation et le financement, tant en Belgique qu'à l'étranger, de toutes entreprises financières, immobilières, commerciales, industrielles, le placement de capitaux en bourse et la gestion du portefeuille créé à cet effet la participation en tant que membre du conseil d'administration ou de toute autre organe similaire, à la gestion de toute société ou entreprise. Cette activité sera exercée exclusivement pour le compte propre de la société. La société peut aussi, en vue du placement de ses capitaux, prendre des participations dans toutes affaires commerciales, industrielles, financières, mobilières, ou immobilières, notamment comme intermédiaire ou marchand de biens. La société peut réaliser son objet pour son compte ou pour le compte d'autrui, en tous lieux, de toutes les manières et selon les modalités qui lui paraissent le mieux appropriées. Elle peut faire en Belgique ou à l'étranger, d'une façon générale, toutes opérations commerciales ou civiles en relation quelconque avec son objet ou pouvant en faciliter la réalisation. Elle peut effectuer tous placements en valeurs mobilières et s'intéresser par voie d'association, d'apport ou de fusion, de cession, de souscription, de participation, d'intervention financière ou autrement, dans toutes sociétés ou entreprises existantes ou à créer. La société a également pour objet l'étude, le conseil, la consultation, l'expertise, l'ingénierie et toutes prestations de services dans le cadre des activités prédécrites. Elle peut participer à toutes entreprises et opérations se rapportant directement ou indirectement à son objet ou de nature à en favoriser la réalisation et le développement de ses affaires. La société peut également exercer les fonctions d'administrateur ou de liquidateur dans d'autres sociétés. Cette énonciation n'est qu'exemplative et non limitative. But(s) Distribuer à ses actionnaires un avantage patrimonial direct ou indirect.

Structure & network

Connections & network

41 connected companies
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Capital and shareholders

Capital over the years
  1. 30-07-2026 Capital stated in the act · 2,000,000 EUR

Public money · subsidies and aid

European Union, budget

2021 to 2025 · 12 entries · 2,514,566 EUR in total
Year Entries awarded
2025 1 669,553 EUR
2023 4 555,095 EUR
2022 4 649,865 EUR
2021 3 640,053 EUR
Projects
EFFICIENT, LOW-COST AND VERSATILE SENSOR-BASED SORTING AND SEPARATION OF COMPLEX WEEE AND ELV PLASTIC WASTE STREAMS, UPCYCLING THEM INTO ADDED-VALUE PRODUCTS FOR EEE AND AUTOMOTIVE INDUSTRY
Programme for Environment and Climate Action · 01-07-2025 to 30-06-2029 · 669,553 EUR · LIFE24-ENV-ES-SENSE4LIFE
RESILEX - RESILIENT ENHANCEMENT FOR THE SILICON INDUSTRY LEVERAGING THE EUROPEAN MATRIX
Horizon Europe · 01-06-2022 to 31-05-2026 · 649,865 EUR
SALEMA - SUBSTITUTION OF CRITICAL RAW MATERIALS ON ALUMINIUM ALLOYS FOR ELECTRICAL VEHICLES
Horizon Europe · 01-05-2021 to 30-04-2024 · 384,061 EUR
MAGELLAN - MAGNETS IN RESILIENT SUPPLY CHAINS
Horizon Europe · 01-01-2024 to 31-12-2026 · 328,945 EUR
PEACOC - PRE-COMMERCIAL PILOT FOR THE EFFICIENT RECOVERY OF PRECIOUS METALS FROM EUROPEAN END OF LIFE RESOURCES WITH NOVEL LOW COST TECHNOLOGIES
Horizon Europe · 01-05-2021 to 30-04-2025 · 253,323 EUR
Show 2 more projects
SOLMATE - REUSE OF SOLAR PV PANELS AND EV BATTERIES FOR LOW COST DECENTRALIZED ENERGY SOLUTIONS AND EFFECTIVE RECYCLING OF CRITICAL RAW MATERIALS FROM THEIR EOL PRODUCTS
Horizon Europe · 01-01-2024 to 31-12-2027 · 226,151 EUR
MMATWO - SECOND GENERATION METHYL METHACRYLATE (MMATWO)
Horizon Europe · 01-10-2018 to 30-09-2022 · 2,669 EUR

European research

9 projects · 3,856,197 EUR EU contribution
Programmes
Horizon 2020
5 entries · 2,010,511 EUR
Horizon Europe
4 entries · 1,845,687 EUR
Projects
first of a kind commercial Compact system for the efficient Recovery Of CObalt Designed with novel Integrated LEading technologies
Horizon 2020 · participant · 01-06-2018 to 30-11-2022 · 714,062 EUR · CROCODILE
Resilient Enhancement for the Silicon Industry Leveraging the European matriX
Horizon Europe · participant · 01-06-2022 to 31-08-2026 · 649,866 EUR · RESILEX
Waste-derived innovative solutions for the secured and sustainable supply of semiconductor raw materials to Europe
Horizon Europe · participant · 01-05-2026 to 30-04-2030 · 582,750 EUR · WISER
Embedded Life-Cycle Management for Smart Multimaterials Structures: Application to Engine Components
Horizon 2020 · participant · 01-04-2021 to 31-01-2025 · 470,789 EUR · MORPHO
Substitution of Critical Raw Materials on Aluminium Alloys for electrical vehicles
Horizon 2020 · participant · 01-05-2021 to 30-04-2024 · 384,059 EUR · SALEMA
Show 4 more projects
MAGnets in rEsiLient suppLy chAiNs
Horizon Europe · participant · 01-01-2024 to 31-03-2027 · 328,946 EUR · MAGELLAN
Reuse of SOLar PV Panels and EV Batteries for low cost decentralized energy solutions and effective Recycling of critical raw MATErials from their EoL products
Horizon Europe · participant · 01-01-2024 to 31-12-2027 · 284,125 EUR · SOLMATE
Pre-commercial pilot for the efficient recovery of Precious Metals from European end of life resources with novel low cost technologies
Horizon 2020 · participant · 01-05-2021 to 31-10-2026 · 275,721 EUR · PEACOC
Second generation Methyl MethAcrylate (MMAtwo)
Horizon 2020 · participant · 01-10-2018 to 30-09-2022 · 165,880 EUR · MMAtwo

Recognitions · licences · registrations

Legal Entity Identifier

549300HGL3CM08XVTE22
live in the LEI register

Similar companies · same sector, comparable size

Of 977 companies in sector 38210 we hold annual accounts for 585. 95 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
Founded26-06-2002
Fiscal year end31-12
Activities, NACEBEL 2025
38210Materials recovery from waste

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