Not provided
R
R.G.F. HOLDING
Active companySociété à responsabilité limitéeBE 0792.639.458
R
Product universe
64.210 · Activités de société holding
64.210 · Activités de société holding
Identity, activity, filings and a two-year financial snapshot — like the public profile.
Company summary
Not provided
Gross margin 2024
—
—
Net result 2024
-22.0 k€
Positive result
Headcount
10-19
Microstructure
Establishments
13
9 municipalities
Activities and NACE codes
Every code, not only the principal activity.
Legal publications
Official sources, with a link to the detail.
Belgian Official Gazette — eJustice
Deeds, articles, appointments
Open
Central Balance Sheet Office — NBB
Financial analysis and latest accounts
Open
Establishments
Operating sites · 13
Open
Social security
NSSO size band and employer file
Map and locations
Registered office and establishments.
Establishment list
HQ · ChaudfontaineSentier du Lièvre 95 4053 Chaudfontaine · 2022-10-19
NamurAvenue Cardinal Mercier 46 5000 Namur · 2024-01-01
ChaudfontaineRue Toussaint Gerkens 59 4052 Chaudfontaine · 2024-01-01
ChaudfontaineVoie de l'Air Pur 232 4052 Chaudfontaine · 2024-01-01
ChaudfontaineVoie de l'Ardenne 173 4053 Chaudfontaine · 2024-01-01
VerviersAvenue du Chêne 146 4802 Verviers · 2024-01-01
JetteAvenue de Jette 165 bte 1 1090 Jette · 2024-01-01
BruxellesRue du Monastère 42 1000 Bruxelles · 2024-01-01
Marche-en-FamenneMarche, Chaussée de Liège 22 6900 Marche-en-Famenne · 2024-01-01
CineyRue du Commerce 29 5590 Ciney · 2024-01-01
CharleroiFaubourg de Bruxelles 201 bte A 6041 Charleroi · 2024-01-01
LasneChaussée de Louvain 468 1380 Lasne · 2024-01-01
ChaudfontaineAu Chession 3 bte 1 4053 Chaudfontaine · 2024-01-01
HQ Sites 13 · 9 municipalities
Source BCE / KBO
Financial analysis
Ratios, structures, last two years and commentary.
Total assets8835.9 k€+27 %
Equity2046.3 k€-1 %
Liabilities6639.5 k€+41 %
Cash53.7 k€-83 %
Solvency23 %-23 %
Liquidity5.1+102 %
ROE-1 %-103 %
Customer payment term2 d-83 %
Last two years
| 2024 | 2023 | Trend | |
|---|---|---|---|
| Gross margin | — | — | — |
| Net result | -22.0 k€ | 719.6 k€ | -103 % |
| Total assets | 8835.9 k€ | 6973.1 k€ | +27 % |
| Equity | 2046.3 k€ | 2068.3 k€ | -1 % |
Team and key contacts
Contacts extracted from the annual accounts.
Products, what the company does, opportunities, events and key people.
What the company does
Offers, origin and prospecting angles.
Not provided
Not provided
Not provided
Visuals
Logo, products and brand world.
Team and key contacts
Contacts extracted from the annual accounts.
Headcount, workplaces, social balance and people you would meet.
Candidate reading
What a candidate can already see before applying.
Workplaces
Registered office and establishments.
Establishment list
HQ · ChaudfontaineSentier du Lièvre 95 4053 Chaudfontaine · 2022-10-19
NamurAvenue Cardinal Mercier 46 5000 Namur · 2024-01-01
ChaudfontaineRue Toussaint Gerkens 59 4052 Chaudfontaine · 2024-01-01
ChaudfontaineVoie de l'Air Pur 232 4052 Chaudfontaine · 2024-01-01
ChaudfontaineVoie de l'Ardenne 173 4053 Chaudfontaine · 2024-01-01
VerviersAvenue du Chêne 146 4802 Verviers · 2024-01-01
JetteAvenue de Jette 165 bte 1 1090 Jette · 2024-01-01
BruxellesRue du Monastère 42 1000 Bruxelles · 2024-01-01
Marche-en-FamenneMarche, Chaussée de Liège 22 6900 Marche-en-Famenne · 2024-01-01
CineyRue du Commerce 29 5590 Ciney · 2024-01-01
CharleroiFaubourg de Bruxelles 201 bte A 6041 Charleroi · 2024-01-01
LasneChaussée de Louvain 468 1380 Lasne · 2024-01-01
ChaudfontaineAu Chession 3 bte 1 4053 Chaudfontaine · 2024-01-01
HQ Sites 13 · 9 municipalities
Source BCE / KBO
Team and key contacts
Contacts extracted from the annual accounts.
Structure, ratios and multi-year analysis.
Financial analysis
Ratios, structures, last two years and commentary.
Total assets8835.9 k€+27 %
Equity2046.3 k€-1 %
Liabilities6639.5 k€+41 %
Cash53.7 k€-83 %
Solvency23 %-23 %
Liquidity5.1+102 %
ROE-1 %-103 %
Customer payment term2 d-83 %
Last two years
| 2024 | 2023 | Trend | |
|---|---|---|---|
| Gross margin | — | — | — |
| Net result | -22.0 k€ | 719.6 k€ | -103 % |
| Total assets | 8835.9 k€ | 6973.1 k€ | +27 % |
| Equity | 2046.3 k€ | 2068.3 k€ | -1 % |
Financial analysis
Contacts, website, LinkedIn, visuals
