AI Terminal

MODULE: AI_ANALYST
Interactive Q&A, Risk Assessment, Summarization
MODULE: DATA_EXTRACT
Excel Export, XBRL Parsing, Table Digitization
MODULE: PEER_COMP
Sector Benchmarking, Sentiment Analysis
SYSTEM ACCESS LOCKED
Authenticate / Register Log In

Van de Velde NV

Governance Information Mar 23, 2018

4020_rns_2018-03-23_53128ce0-6a7b-489a-a460-ce8caf61f3b2.pdf

Governance Information

Open in Viewer

Opens in native device viewer

Nr.
No.
C 1.1
Date of the deposition
0448.746.744
PP.
E.
D.
IN EURO (2 decimals)
NAME:
VAN DE VELDE NV
Legal form: PLC
Address:
Lageweg
Nr.:
4
Postal Code:
9260
City:
Wichelen
Country: Belgium
Register of Legal Persons (RLP) - Office of the commercial court at:
Gent, Division Dendermonde
Internet address :
0448.746.744
Company number:
DATE
18/05/2017
of the deposition of the partnership deed OR of the most recent document mentioning the date of
publication of the partnership deed and the act changing the articles of association.
ANNUAL ACCOUNTS approved by the General Meeting of
25/04/2018
concerning the financial year covering the period from
till
1/01/2017
31/12/2017
Previous period from
till
1/01/2016
31/12/2016
The amounts of the previous financial year are
are not
* identical to those which have been previously published.
/
COMPLETE LIST WITH name, first name, profession, residence-address (address, number, postal code, municipality) and
position with the enterprise, OF DIRECTORS, MANAGERS AND AUDITORS
BENOIT GRAULICH
OCLL
0472.527.877
Bergstraat 16, 1850 Grimbergen, Belgium
Title : Director
Mandate : 27/04/2016- 24/04/2019
Represented by:
Graulich Benoit
Bergstraat 16 , 1850 Grimbergen, Belgium
HERMAN VAN DE VELDE
PLC
0460.768.212
Dendermondsesteenweg 90, 9230 Wetteren, Belgium
Title : President of the board of directors
Mandate : 25/04/2012- 25/04/2018
Represented by:
Van de Velde Herman
Dendermondsesteenweg 90 , 9230 Wetteren, Belgium
Enclosed to these annual accounts:
MANAGEMENT REPORT, REPORT OF THE AUDITORS
40 1 EUR

Signature (name and position)

BVBA Positron

Vertegenwoordigd door E. Van Laethem

Signature (name and position)

NV Van de Velde Herman

Vertegenwoordigd door H. Van de Velde

* Optional statement.

** Delete where appropriate.

LIST OF DIRECTORS, MANAGERS AND AUDITORS (continuation of the previous page)

LAUREYS BENEDICTE

Nelemeersstraat 72, 9830 Sint-Martens-Latem, Belgium Title : Director Mandate : 25/04/2012- 25/04/2018

LAUREYS LUCAS

Heidenbergpark 20, 9830 Sint-Martens-Latem, Belgium Title : Director Mandate : 27/04/2016- 24/04/2019

DIRK GOEMINNE PLLC 0897.660.071

Oudeheerweg-Heide 77, 9250 Waasmunster, Belgium Title : Director Mandate : 27/04/2011- 26/04/2020 Represented by: Goeminne Dirk Oudeheerweg-Heide 77 , 9250 Waasmunster, Belgium

ERNST & YOUNG BEDRIJFSREVISOREN CALL 0437.476.235

Moutstraat 54, 9000 Gent, Belgium Title : Auditor, Number of membership : B160 Mandate : 27/04/2016- 24/04/2019 Represented by: Eelen Paul Moutstraat 54 , 9000 Gent, Belgium

Number of membership : A02213

POSITRON PLLC 0878.524.644

Sportlaan 23, 1700 Dilbeek, Belgium Title : Delegated director Mandate : 1/11/2016- 26/04/2020 Represented by: Van Laethem Erwin Sportlaan 23 , 1700 Dilbeek, Belgium

LIST OF DIRECTORS, MANAGERS AND AUDITORS (continuation of the previous page)

EMETICO PLC 0849.239.552

Bosveldweg 61, 1180 Brussel 18, Belgium

Title : Director

Mandate : 24/04/2013- 24/04/2019

Represented by: Jansen Yvan

Bosveldweg 61 , 1180 Brussel 18, Belgium

MAVAC PLLC 0824.965.994

Daalstraat 34, 1852 Beigem, Belgium Title : Director Mandate : 24/04/2013- 24/04/2019 Represented by: Vaesen Marleen Daalstraat 34 , 1852 Beigem, Belgium

LAUREYS VERONIQUE

Mortelputstraat 37, 9830 Sint-Martens-Latem, Belgium Title : Director Mandate : 26/04/2017- 26/04/2020

VANDERVOORT PHILLIP

Dolezlaan 509, 1180 Brussel 18, Belgium Title : Director Mandate : 26/04/2017- 26/04/2020

DECLARATION ABOUT SUPPLEMENTARY AUDITING OR ADJUSTMENT MISSION

The managing board declares that the assignment neither regarding auditing nor adjusting has been given to a person who was not authorised by law pursuant to art. 34 and 37 of the Law of 22nd April 1999 concerning the auditing and tax professions.

The annual accounts have have not * / been audited or adjusted by an external accountant or auditor who is not a statutory auditor.

If YES, mention here after: name, first names, profession, residence-address of each external accountant or auditor, the number of membership with the professional Institute ad hoc and the nature of this engagement:

  • A. Bookkeeping of the undertaking**,
  • B. Preparing the annual accounts**,
  • C. Auditing the annual accounts and/or
  • D. Adjusting the annual accounts.

If the assignment mentioned either under A or B is performed by authorised accountants or authorised accountants-tax consultants, information will be given on: name, first names, profession and residence-address of each authorised accountant or accountanttax consultant, his number of membership with the Professional Institute of Accountants and Tax consultants and the nature of this engagement.

Name, first name, profession, residence-address Number of
membership
Nature of the
engagement
(A, B, C and/or D)

* Delete where appropriate.

** Optional disclosure.

BALANCE SHEET

Notes Codes Period Previous period
ASSETS
FIXED ASSETS
20/28
Formation expenses
5.1 20

Intangible fixed assets
5.2 21 2.851.428,91 3.959.221,00

Tangible fixed assets
5.3 22/27 24.594.227,41 25.547.235,15

Land and buildings
22 14.582.833,60 16.127.997,00
Plant, machinery and equipment 23 5.733.546,98 6.582.811,00
Furniture and vehicles 24 2.885.378,75 2.767.692,00
Leasing and other similar rights 25
Other tangible fixed assets 26 538.029,28 56.978,15
Assets under construction and advance payments 27 854.438,80 11.757,00
5.4/
Financial fixed assets
5.5.1 28 85.757.988,12 82.258.403,69

Affiliated enterprises
5.14 280/1 71.193.862,61 67.994.119,00

Participating interests
280 71.193.862,61 67.994.119,00

Amounts receivable
281

Other enterprises linked by participating interests
5.14 282/3 14.322.166,69 14.022.166,69
Participating interests
282 14.322.166,69 14.022.166,69

Amounts receivable

283
Other financial assets

284/8 241.958,82 242.118,00
Shares
284
Amounts receivable and cash guarantees

285/8 241.958,82 242.118,00

CURRENT ASSETS

29/58 87.320.327,08 81.885.442,16


Amounts receivable after more than one year
29 2.562.004,51 1.804.022,00

Trade debtors

290 81.789,96 141.696,00
Other amounts receivable

291 2.480.214,55 1.662.326,00

Stocks and contracts in progress
3 39.768.727,96 39.841.764,90

Stocks
30/36 39.768.727,96 39.841.764,90

Raw materials and consumables
30/31 9.935.392,76 10.429.678,90

Work in progress

32 11.248.480,00 9.229.876,00

Finished goods
33 18.016.074,24 19.840.169,00

Goods purchased for resale

34 568.780,96 342.041,00
Immovable property intended for sale
35
Advance payments

36
Contracts in progress

5.5.1/ 37
Amounts receivable within one year
5.6 40/41 23.686.020,70 23.593.129,26

Trade debtors
40 22.253.535,63 22.150.400,26
Other amounts receivable
41 1.432.485,07 1.442.729,00

Current investments
50/53 383,94 1.918.985,00

Own shares
50

Other investments and deposits
51/53 383,94 1.918.985,00

Cash at bank and in hand

54/58 18.563.442,82 11.774.544,00

Deferred charges and accrued income
5.6 490/1 2.739.747,15 2.952.997,00


TOTAL ASSETS
20/58 200.523.971,52 193.650.302,00
EQUITY AND LIABILITIES Notes Codes Period Previous period
EQUITY
10/15 137.346.556,46 115.990.485,10
Capital
5.7 10 1.936.173,73 1.936.173,73

Issued capital
100 1.936.173,73 1.936.173,73

Uncalled capital


Share premium account
101
11
743.422,57 743.422,57

Revaluation surpluses
12

Reserves
13 134.514.960,16 113.310.888,80

Legal reserve
130 193.617,30 193.617,30

Reserves not available
131

In respect of own shares held
1310

Other


1311
Untaxed reserves

132
Available reserves


Accumulated profits (losses)
(+)/(-)
133
14
134.321.342,86 113.117.271,50
Investment grants
15 152.000,00

Advance to associates on the sharing

out of the assets
19

PROVISIONS AND DEFERRED TAXES
16 373.036,00 808.337,04

Provisions for liabilities and charges
160/5 373.036,00 808.337,04


Pensions and similar obligations
160


Taxation
161


Major repairs and maintenance
162

Other liabilities and charges
5.8 163/5


Deferred taxes
168

AMOUNTS PAYABLE
17/49 62.804.379,06 76.851.479,86

Amounts payable after more than one year
5.9 17

Financial debts
170/4


Subordinated loans
170

Unsubordinated debentures
171

Leasing and other similar obligations
172

Credit institutions
173


Other loans
174

Trade debts
175
Suppliers
1750

Bills of exchange payable
1751

Advances received on contracts in progress
176

Other amounts payable
178/9


Amounts payable within one year
42/48 58.356.058,77 73.166.848,96
Current portion of amounts payable after more than one

year falling due within one year
5.9 42
Financial debts 43

Credit institutions
430/8

Other loans
439

Trade debts
44 26.082.966,61 23.223.423,96
Suppliers
440/4 26.082.966,61 23.223.423,96

Bills of exchange payable
441

Advances received on contracts in progress
46

Taxes, remuneration and social security

5.9 45 14.350.424,05 19.554.957,00

Taxes

450/3 9.931.768,54 15.494.259,00

Remuneration and social security
454/9 4.418.655,51 4.060.698,00

Other amounts payable
47/48 17.922.668,11 30.388.468,00

Accrued charges and deferred income
5.9 492/3 4.448.320,29 3.684.630,90

TOTAL LIABILITIES
10/49 200.523.971,52 193.650.302,00

INCOME STATEMENT

Notes Codes Period Previous period
Operating income
5.10 70/74

Turnover
70 197.350.314,84 190.673.290,00
Increase (decrease) in stocks of
finished goods, work and contracts in progress (+)/(-)
71 557.495,00 3.058.913,00
Own construction capitalised
72

Other operating income
74 6.121.904,35 5.489.721,00

Operating charges
60/64

Raw materials, consumables
60 40.885.998,67 41.824.291,00

Purchases
600/8 41.622.123,80 41.326.487,00

Decrease (increase) in stocks (+)/(-)
609 -736.125,13 497.804,00
Services and other goods
61 85.461.710,68 74.831.775,00

Remuneration, social security costs and pensions (+)/(-)
5.10 62 27.610.089,90 25.800.875,00
Depreciation of and amounts written off formation
expenses, intangible and tangible fixed assets
630 6.222.615,06 5.507.542,00
Amounts written down stocks, contracts in progress and
trade debtors - Appropriations (write-backs) (+)/(-)
5.10 631/4 1.169.188,49 -479.141,00
Provisions for risks and charges - Appropriations (uses
and write-backs) (+)/(-)
5.10 635/7
Other operating charges
5.10 640/8 266.130,62 247.747,00

Operation charges carried to assets as restructuring
costs (-)
649
Operating profit (loss)
(+)/(-)
9901 42.849.281,81 51.419.835,00
Financial income
75 10.491.996,95 13.318.757,00

Income from financial fixed assets
750 8.367.123,26 10.697.579,00

Income from current assets

751 44.266,80 84.665,00

Other financial income

5.11 752/9 2.080.606,89 2.536.513,00
Financial charges
5.11 65 7.695.745,13 6.632.804,00

Debt charges
650 105.894,25 73.226,00

Amounts written down on current assets except
stocks, contracts in progress and
trade debtors (+)/(-)
651
Other financial charges
652/9 7.589.850,88 6.559.578,00

Gain (loss) on ordinary activities before taxes
(+)/(-)
9902
Codes Period Previous period
Extraordinary income 76

Write-back of depreciation and of amounts written down

intangible and tangible fixed assets
760

Write-back of amounts written down financial fixed assets

761
Write-back of provisions for extraordinary liabilities and

charges
762
Gains on disposal of fixed assets
763

Other extraordinary income

764/9

Extraordinary charges
66

Extraordinary depreciation of and extraordinary amounts
written off formation expenses, intangible and tangible
fixed assets
660

Amounts written down financial fixed assets
661

Provisions for extraordinary liabilities and charges -

Appropriations (uses) (+)/(-)
662
Loss on disposal of fixed assets
663

Other extraordinary charges
5.11 664/8

Extraordinary charges carried to assets as restructuring
costs (-)
669
Profit (loss) for the period before taxes (+)/(-) 9903 46.258.116,51 58.172.972,00
Transfer from postponed taxes 780

Transfer to postponed taxes
680

Income taxes
5.12 67/77 11.331.889,96 16.450.842,00
Income taxes
670/3 11.331.889,96 16.450.842,00

Adjustment of income taxes and write-back of tax

provisions
77
Profit (loss) for the period (+)/(-) 9904 34.926.226,55 41.722.130,00
Transfer from untaxed reserves 789

Transfer to untaxed reserves
689

Profit (loss) for the period available for appropriation (+)/(-)
9905 34.926.226,55 41.722.130,00

APPROPRIATION ACCOUNT

Codes Period Previous period
Profit (loss) to be appropriated (+)/(-) 9906 34.926.226,55 41.722.130,00
Gain (loss) to be appropriated
(+)/(-)
(9905) 34.926.226,55 41.722.130,00
Profit (loss) to be carried forward
(+)/(-)
14P
Transfers from capital and reserves 791/2 4.906.550,00

from capital and share premium account
791

from reserves
792 4.906.550,00

Transfers to capital and reserves
691/2 21.204.071,36

to capital and share premium account
691
to the legal reserve 6920
to other reserves 6921 21.204.071,36
Profit (loss) to be carried forward (+)/(-) (14)
Owner's contribution in respect of losses
794

Profit to be distributed
694/6

Dividends
694 13.722.155,19 46.628.680,00
Director's or manager's entitlements 695
Other beneficiaries 696

EXPLANATORY DISCLOSURES

STATEMENT OF FORMATION EXPENSES

Codes Period Previous period
Net book value at the end of the period
20P xxxxxxxxxxxxxxx

Movements during the period
New expenses incurred
8002
Depreciation
8003

Other (+)/(-)
8004
Net book value at the end of the period
(20)

Of which
Formation or capital increase expenses, loan issue expenses and other
formation expenses
200/2
Restructuring costs
204

STATEMENT OF INTANGIBLE FIXED ASSETS

Codes Period Previous period
RESEARCH AND DEVELOPMENT COSTS
Acquisition value at the end of the period
8051P xxxxxxxxxxxxxxx

Movements during the period
Acquisitions, including produced fixed assets 8021
Sales and disposals 8031
Transfers from one heading to another (+)/(-) 8041
Acquisition value at the end of the period 8051

Depreciation and amounts written down at the end of the period
8121P xxxxxxxxxxxxxxx

Movements during the period
Recorded
8071

Written back
8081
Acquisitions from third parties
8091

Cancelled owing to sales and disposals
8101
Transfers from one heading to another (+)/(-)
8111
Depreciation and amounts written down at the end of the period
8121

NET BOOK VALUE AT THE END OF THE PERIOD

210
Codes Period Previous period
CONCESSIONS, PATENTS, LICENCES, KNOWHOW, BRANDS
AND SIMILAR RIGHTS
Acquisition value at the end of the period
8052P xxxxxxxxxxxxxxx 28.935.370,78

Movements during the period
Acquisitions, including produced fixed assets 8022 478.272,23
Sales and disposals 8032
Transfers from one heading to another (+)/(-) 8042
Acquisition value at the end of the period 8052 29.413.643,01

Depreciation and amounts written down at the end of the period
8122P xxxxxxxxxxxxxxx 26.614.008,72

Movements during the period

Recorded
8072 1.167.887,57

Written back
8082

Acquisitions from third parties
8092

Cancelled owing to sales and disposals
8102

Transfers from one heading to another (+)/(-)
8112
Depreciation and amounts written down at the end of the period 8122 27.781.896,29


NET BOOK VALUE AT THE END OF THE PERIOD
211 1.631.746,72
Codes Period Previous period
GOODWILL
Acquisition value at the end of the period
8053P xxxxxxxxxxxxxxx 2.090.883,75

Movements during the period
Acquisitions, including produced fixed assets 8023
Sales and disposals 8033
Transfers from one heading to another (+)/(-) 8043
Acquisition value at the end of the period 8053 2.090.883,75

Depreciation and amounts written down at the end of the period
8123P xxxxxxxxxxxxxxx 453.024,81

Movements during the period

Recorded
8073 418.176,75

Written back
8083

Acquisitions from third parties
8093

Cancelled owing to sales and disposals
8103

Transfers from one heading to another (+)/(-)
8113
Depreciation and amounts written down at the end of the period 8123 871.201,56


NET BOOK VALUE AT THE END OF THE PERIOD

212 1.219.682,19
Codes Period Previous period
ADVANCE PAYMENTS
Acquisition value at the end of the period
8054P xxxxxxxxxxxxxxx

Movements during the period
Acquisitions, including produced fixed assets 8024
Sales and disposals 8034
Transfers from one heading to another (+)/(-) 8044
Acquisition value at the end of the period 8054

Depreciation and amounts written down at the end of the period
8124P xxxxxxxxxxxxxxx
Movements during the period
Recorded 8074
Written back 8084
Acquisitions from third parties 8094
Cancelled owing to sales and disposals 8104
Transfers from one heading to another (+)/(-) 8114
Depreciation and amounts written down at the end of the period
8124

NET BOOK VALUE AT THE END OF THE PERIOD

213

STATEMENT OF TANGIBLE FIXED ASSETS

Codes Period Previous period
LAND AND BUILDINGS
Acquisition value at the end of the period
8191P xxxxxxxxxxxxxxx 30.850.548,91

Movements during the period
Acquisitions, including produced fixed assets 8161 167.439,81
Sales and disposals 8171
Transfers from one heading to another (+)/(-) 8181
Acquisition value at the end of the period
8191 31.017.988,72

Revaluation surpluses at the end of the period
8251P xxxxxxxxxxxxxxx

Movements during the period
Recorded 8211
Acquisitions from third parties 8221
Cancelled 8231
Transfers from one heading to another (+)/(-) 8241
Revaluation surpluses at the end of the period 8251

Depreciation and amounts written down at the end of the period
8321P xxxxxxxxxxxxxxx 14.722.551,91

Movements during the period

Recorded
8271 1.712.603,21

Written back
8281

Acquisitions from third parties
8291
Cancelled owing to sales and disposals
8301

Transfers from one heading to another (+)/(-)
8311

Depreciation and amounts written down at the end of the period

8321 16.435.155,12

NET BOOK VALUE AT THE END OF THE PERIOD
(22) 14.582.833,60
Codes Period Previous period
PLANT, MACHINERY AND EQUIPMENT
Acquisition value at the end of the period
8192P xxxxxxxxxxxxxxx 31.761.634,46

Movements during the period
Acquisitions, including produced fixed assets 8162 1.291.804,42
Sales and disposals 8172 23.690,08
Transfers from one heading to another (+)/(-) 8182
Acquisition value at the end of the period
8192 33.029.748,80

Revaluation surpluses at the end of the period
8252P xxxxxxxxxxxxxxx

Movements during the period
Recorded 8212
Acquisitions from third parties 8222
Cancelled 8232
Transfers from one heading to another (+)/(-) 8242
Revaluation surpluses at the end of the period
8252
Depreciation and amounts written down at the end of the period
8322P xxxxxxxxxxxxxxx 25.178.823,46

Movements during the period

Recorded
8272 2.121.880,50


Written back
8282

Acquisitions from third parties
8292


Cancelled owing to sales and disposals
8302 4.502,14

Transfers from one heading to another (+)/(-)
8312


Depreciation and amounts written down at the end of the period
8322 27.296.201,82


NET BOOK VALUE AT THE END OF THE PERIOD
(23) 5.733.546,98
Codes Period Previous period
FURNITURE AND VEHICLES
Acquisition value at the end of the period

8193P xxxxxxxxxxxxxxx 5.535.570,35
Movements during the period
Acquisitions, including produced fixed assets 8163 924.234,93
Sales and disposals 8173 148.416,27
Transfers from one heading to another (+)/(-) 8183
Acquisition value at the end of the period
8193 6.311.389,01

Revaluation surpluses at the end of the period
8253P xxxxxxxxxxxxxxx

Movements during the period
Recorded 8213
Acquisitions from third parties 8223
Cancelled 8233
Transfers from one heading to another (+)/(-) 8243
Revaluation surpluses at the end of the period
8253
Depreciation and amounts written down at the end of the period
8323P xxxxxxxxxxxxxxx 2.767.878,35


Movements during the period

Recorded
8273 782.567,37


Written back
8283

Acquisitions from third parties
8293

Cancelled owing to sales and disposals
8303 124.435,46

Transfers from one heading to another (+)/(-)
8313

Depreciation and amounts written down at the end of the period
8323 3.426.010,26


NET BOOK VALUE AT THE END OF THE PERIOD
(24) 2.885.378,75
Codes Period Previous period
LEASING AND SIMILAR RIGHTS
Acquisition value at the end of the period

8194P xxxxxxxxxxxxxxx
Movements during the period
Acquisitions, including produced fixed assets 8164
Sales and disposals 8174
Transfers from one heading to another (+)/(-) 8184
Acquisition value at the end of the period
8194

Revaluation surpluses at the end of the period
8254P xxxxxxxxxxxxxxx

Movements during the period
Recorded 8214
Acquisitions from third parties 8224
Cancelled 8234
Transfers from one heading to another (+)/(-) 8244
Revaluation surpluses at the end of the period
8254
Depreciation and amounts written down at the end of the period
8324P xxxxxxxxxxxxxxx


Movements during the period

Recorded
8274

Written back
8284

Acquisitions from third parties
8294
Cancelled owing to sales and disposals
8304

Transfers from one heading to another (+)/(-)
8314

Depreciation and amounts written down at the end of the period

8324

NET BOOK VALUE AT THE END OF THE PERIOD
(25)


WHEREOF


Land and buildings

250


Plant, machinery and equipment
251


Furniture and vehicles

252
Codes Period Previous period
OTHER TANGIBLE FIXED ASSETS
Acquisition value at the end of the period
8195P xxxxxxxxxxxxxxx 56.978,15

Movements during the period
Acquisitions, including produced fixed assets 8165 500.550,79
Sales and disposals 8175
Transfers from one heading to another (+)/(-) 8185
Acquisition value at the end of the period
8195 557.528,94

Revaluation surpluses at the end of the period
8255P xxxxxxxxxxxxxxx

Movements during the period
Recorded 8215
Acquisitions from third parties 8225
Cancelled 8235
Transfers from one heading to another (+)/(-) 8245
Revaluation surpluses at the end of the period
8255
Depreciation and amounts written down at the end of the period
8325P xxxxxxxxxxxxxxx


Movements during the period

Recorded
8275 19.499,66

Written back
8285

Acquisitions from third parties
8295
Cancelled owing to sales and disposals
8305

Transfers from one heading to another (+)/(-)
8315

Depreciation and amounts written down at the end of the period

8325 19.499,66

NET BOOK VALUE AT THE END OF THE PERIOD
(26) 538.029,28
Codes Period Previous period
ASSETS UNDER CONSTRUCTION AND ADVANCED PAYMENTS
Acquisition value at the end of the period
8196P xxxxxxxxxxxxxxx 11.757,00

Movements during the period
Acquisitions, including produced fixed assets 8166 842.681,80
Sales and disposals 8176
Transfers from one heading to another (+)/(-) 8186
Acquisition value at the end of the period
8196 854.438,80

Revaluation surpluses at the end of the period
8256P xxxxxxxxxxxxxxx

Movements during the period
Recorded 8216
Acquisitions from third parties 8226
Cancelled 8236
Transfers from one heading to another (+)/(-) 8246
Revaluation surpluses at the end of the period
8256
Depreciation and amounts written down at the end of the period

8326P xxxxxxxxxxxxxxx

Movements during the period

Recorded
8276

Written back
8286

Acquisitions from third parties
8296
Cancelled owing to sales and disposals
8306

Transfers from one heading to another (+)/(-)
8316

Depreciation and amounts written down at the end of the period

8326

NET BOOK VALUE AT THE END OF THE PERIOD
(27) 854.438,80

STATEMENT OF FINANCIAL FIXED ASSETS

Codes Period Previous period
AFFILIATED ENTERPRISES - PARTICIPATING INTERESTS AND
SHARES
Acquisition value at the end of the period
8391P xxxxxxxxxxxxxxx 6.988.651,68

Movements during the period
Acquisitions, including produced fixed assets 8361 2.639.395,81
Sales and disposals 8371 80.000,00
Transfers from one heading to another (+)/(-) 8381
Acquisition value at the end of the period
8391 9.548.047,49

Revaluation surpluses at the end of the period
8451P xxxxxxxxxxxxxxx 67.148.000,00

Movements during the period
Recorded 8411
Acquisitions from third parties 8421
Cancelled 8431
Transfers from one heading to another (+)/(-) 8441
Revaluation surpluses at the end of the period 8451 67.148.000,00
Amounts written down at the end of the period
8521P xxxxxxxxxxxxxxx 6.142.532,68

Movements during the period
Recorded 8471 5.084.349,48
Written back 8481 5.703.346,18
Acquisitions from third parties 8491
Cancelled owing to sales and disposals 8501 21.351,10
Transfers from one heading to another (+)/(-) 8511
Amounts written down at the end of the period

8521 5.502.184,88
Uncalled amounts at the end of the period
8551P xxxxxxxxxxxxxxx

Movements during the period
(+)/(-)
8541
Uncalled amounts at the end of the period 8551

NET BOOK VALUE AT THE END OF THE PERIOD
(280) 71.193.862,61

AFFILIATED ENTERPRISES - AMOUNTS RECEIVABLE
NET BOOK VALUE AT THE END OF THE PERIOD
281P xxxxxxxxxxxxxxx
Movements during the period
Additions 8581
Repayments 8591
Amounts written down 8601
Amounts written back 8611
Exchange differences (+)/(-) 8621
Other (+)/(-) 8631
NET BOOK VALUE AT THE END OF THE PERIOD
(281)
ACCUMULATED AMOUNTS WRITTEN OFF ON AMOUNTS

RECEIVABLE AT THE END OF THE PERIOD
8651
Codes Period Previous period
OTHER ENTERPRISES LINKED BY PARTICIPATING INTERESTS -
PARTICIPATING INTERESTS AND SHARES
Acquisition value at the end of the period
8392P xxxxxxxxxxxxxxx 25.146.148,69

Movements during the period
Acquisitions, including produced fixed assets 8362 300.000,00
Sales and disposals 8372
Transfers from one heading to another (+)/(-) 8382
Acquisition value at the end of the period
8392 25.446.148,69

Revaluation surpluses at the end of the period
8452P xxxxxxxxxxxxxxx

Movements during the period
Recorded 8412
Acquisitions from third parties 8422
Cancelled 8432
Transfers from one heading to another (+)/(-) 8442
Revaluation surpluses at the end of the period
8452
Amounts written down et the end of the period
8522P xxxxxxxxxxxxxxx 11.123.982,00

Movements during the period
Recorded 8472
Written back 8482
Acquisitions from third parties 8492
Cancelled owing to sales and disposals 8502
Transfers from one heading to another (+)/(-) 8512
Amounts written down at the end of the period

8522 11.123.982,00

Uncalled amounts at the end of the period
8552P xxxxxxxxxxxxxxx

Movements during the period
(+)/(-)
8542
Uncalled amounts at the end of the period
8552
NET BOOK VALUE AT THE END OF THE PERIOD
(282) 14.322.166,69

OTHER ENTERPRISES LINKED BY PARTICIPATING INTERESTS -
AMOUNTS RECEIVABLE
NET BOOK VALUE AT THE END OF THE PERIOD 283P xxxxxxxxxxxxxxx

Movements during the period
Additions 8582
Repayments 8592
Amounts written down 8602
Amounts written back 8612
Exchange differences (+)/(-) 8622
Other (+)/(-) 8632
NET BOOK VALUE AT THE END OF THE PERIOD
(283)
ACCUMULATED AMOUNTS WRITTEN OFF ON AMOUNTS

RECEIVABLE AT THE END OF THE PERIOD
8652
Codes Period Previous period
OTHER ENTERPRISES - PARTICIPATING INTERESTS AND
SHARES
Acquisition value at the end of the period
8393P xxxxxxxxxxxxxxx

Movements during the period
Acquisitions, including produced fixed assets 8363
Sales and disposals 8373
Transfers from one heading to another (+)/(-) 8383
Acquisition value at the end of the period
8393

Revaluation surpluses at the end of the period
8453P xxxxxxxxxxxxxxx

Movements during the period
Recorded 8413
Acquisitions from third parties 8423
Cancelled 8433
Transfers from one heading to another (+)/(-) 8443
Revaluation surpluses at the end of the period 8453
Amounts written down at the end of the period
8523P xxxxxxxxxxxxxxx

Movements during the period
Recorded 8473
Written back 8483
Acquisitions from third parties 8493
Cancelled owing to sales and disposals 8503
Transfers from one heading to another (+)/(-) 8513
Amounts written down at the end of the period

8523

Uncalled amounts at the end of the period
8553P xxxxxxxxxxxxxxx

Movements during the period
(+)/(-)
8543
Uncalled amounts at the end of the period
8553
NET BOOK VALUE AT THE END OF THE PERIOD (284)


OTHER ENTERPRISES - AMOUNTS RECEIVABLE
NET BOOK VALUE AT THE END OF THE PERIOD 285/8P xxxxxxxxxxxxxxx 242.118,00

Movements during the period

Additions
8583
Repayments 8593 159,18
Amounts written down 8603
Amounts written back 8613
Exchange differences (+)/(-) 8623
Other (+)/(-) 8633
NET BOOK VALUE AT THE END OF THE PERIOD (285/8) 241.958,82

ACCUMULATED AMOUNTS WRITTEN OFF ON AMOUNTS

RECEIVABLE AT THE END OF THE PERIOD
8653

INFORMATION RELATING TO THE SHARE IN THE CAPITAL

SHARE IN THE CAPITAL AND OTHER RIGHTS IN OTHER COMPANIES

List of both enterprises in wich the enterprise holds a participating interest (recorded in the heading 28 of assets) and other enterprises in which the enterprise holds rights (recorded in the headings 28 and 50/53 of assets) in the amount of at least 10% of the capital issued.

Shares held by Information from the most recent period for
which annual accounts are available
NAME, full address of the REGISTERED
OFFICE and for the enterprise governed by
directly subsi
diaries
Primary Mone Capital and reserves Net result
Belgian law, the COMPANY NUMBER Number % % financial
statement
tary
unit
(+) or (-)
(in monetary units)
VAN DE VELDE GMBH & CO KG FC
BLUMENSTRASSE 24
40212 DUSSELDORF
Germany
31/12/2017 EUR 1.433.870 262.128
VAN DE VELDE VERWALTUNGS GMBH
FC
BLUMENSTRASSE 24
40212 DUSSELDORF
Germany
100 100,00 0,00 31/12/2017 EUR 46.813 -413
VAN DE VELDE TERMELO ES
KERESKEDELMI KFT FC
SELYEM U. 4
7100 SZEKSZARD
Hungary
1 100,00 0,00 31/12/2017 HUF 4.321.567 975.302
VAN DE VELDE UK Ltd FC
Cannan Place, Cannon Street 78
EC4N6AF LONDON
United Kingdom
1 100,00 0,00 31/12/2017 GBP 337.196 54.539
VAN DE VELDE FRANCE SARL FC
PLACE DU GENERAL DE GAULLE 16
59000 Lille
France
1 100,00 0,00 31/12/2017 EUR 3.360.346 524.640
MARIE JO GMBH FC
BLUMENSTRASSE 24
40212 DUSSELDORF
Germany
1250000 99,99 0,01 31/12/2017 EUR 2.366.723 125.704
VAN DE VELDE IBERICA SL FC
CALLE SANTA EULALIA 5
08012 BARCELONA
Spain
1 100,00 0,00 31/12/2017 EUR 4.516.862 372.147
40200 100,00 0,00

SHARE IN THE CAPITAL AND OTHER RIGHTS IN OTHER COMPANIES

Shares held by Information from the most recent period for
which annual accounts are available
NAME, full address of the REGISTERED
OFFICE and for the enterprise governed by
Belgian law, the COMPANY NUMBER
directly subsi
diaries
Primary Mone Capital and reserves Net result
Number % % financial
statement
tary
unit
(+) or (-)
(in monetary units)
VAN DE VELDE NORTH AMERICA INC FC
MADISON AVENUE 171
NY10016 NEW YORK
United States of America
31/12/2017 USD 480.312 211.878
VAN DE VELDE FINLAND OY FC
YLIOPISTONKATU 34
20100 TURKU
Finland
100 100,00 0,00 31/12/2017 EUR 77.198 25.818
VAN DE VELDE DENMARK APS FC
LEJRVEJ 8
6330 PADBORG
Denmark
800 100,00 0,00 31/12/2017 DKK 3.473.635 905.950
TOP FORM INTERNATIONAL LIMITED FC
15/F. TOWER A MANULIFE FIN. CENTRE
WAI YIP STR 223 , box 231
KWIN TONG, KOWLOON
Hong Kong
125 100,00 0,00 31/12/2017 HKD 562.063.000 19.295.000
RIGBY & PELLER LTD FC
Second floor, North Row 37
W1K 6DH LONDEN
United Kingdom
55184708 25,66 0,00 31/12/2017 GBP 120.796 -920.253
VAN DE VELDE CONFECTION SARL FC
ROUTE DE SOUSSE 25
4020 KONDAR
Tunisia
2175 87,00 0,00 31/12/2017 TND 34.557.892 34.304.146
INTIMACY MANAGEMENT COMPANY LLC
FC
MADISON AVENUE SUITE 201
10016 NY NEW YORK
United States of America
5000 99,98 0,02 31/12/2017 USD 3.963.276 -3.661.665
1000 0,00 100,00

INFORMATION RELATING TO THE SHARE IN THE CAPITAL

SHARE IN THE CAPITAL AND OTHER RIGHTS IN OTHER COMPANIES

NAME, full address of the REGISTERED Shares held by Information from the most recent period for
which annual accounts are available
OFFICE and for the enterprise governed by
Belgian law, the COMPANY NUMBER
directly subsi
diaries
Primary Mone Capital and reserves Net result
Number % % financial
statement
tary
unit
(+) or (-)
(in monetary units)
VAN DE VELDE RETAIL INC FC
MADISON AVENUE, SUITE 201 171
NY10016 NEW YORK
United States of America
31/12/2017 USD 11.985.486 -7.377
1000 100,00 0,00
VAN DE VELDE NEDERLAND BV FC
CORELLISTRAAT 27
1077 HB AMSTERDAM
Netherlands
820025367B01
31/12/2017 EUR 2.409.190 258.015
90000 100,00 0,00
PRIVATE SHOP LIMITED
WYLER CENTRE I - FLOOR 8 - TAI LIN PAI
ROAD 202 , box 210
KWAI CHUNG
Hong Kong
31/12/2017 HKD 16.427.000 -6.806
3500000 50,00 0,00

COMPANIES TO WHICH THE ENTERPRISE IS UNLIMITED LIABLE AS A QUALIFIED PARTNER OR MEMBER

The annual accounts of any enterprise to which the enterprise is unlimited liable will be added to the present accounts and published jointly. Departure from that requirement will be mentioned in the second column referring to the appropiate code (A, B, C or D), explained hereafter.

The annual accounts of the enterprise:

  • A. will be published through a deposition in the National Bank of Belgium;
  • B. will be published effectively in another member state of the EC pursuant to the directive 68/151/EEG;
  • C. will be fully or proportionally consolidated in the consolidated annual statements of the enterprise which is prepared, audited and published pursuant to the provision of Company Law on the consolidated annual accounts of enterprises;

D. concern a common law company, a temporary company or an internal company.

NAME, full address of the REGISTERED OFFICE,
LEGAL FORM and for the enterprise governed by Belgian law,
COMPANY NUMBER
Code,
if any

OTHER INVESTMENTS AND DEPOSIT, DEFFERED CHARGES AND ACCRUED INCOME (ASSETS)

Codes Period Previous period
INVESTMENTS: OTHER INVESTMENTS AND DEPOSITS
Shares
51

Book value increased with the uncalled amount
8681
Uncalled amount 8682
Fixed income securities
52

Fixed income securities issued by credit institutions
8684
Fixed term deposit with credit institutions
53 383,94 1.918.985,00

Falling due
less or up to one month 8686
between one month and one year 8687 383,94 1.918.985,00
over one year 8688
Other investments not yet shown seperately
8689

DEFFERED CHARGES AND ACCRUED INCOME

Allocation of heading 490/1 of assets if the amount is significant.

Period

STATEMENT OF CAPITAL AND STRUCTURE OF SHAREHOLDINGS

STATEMENT OF CAPITAL

Social capital

Issued capital at the end of the period
Issued capital at the end of the period
Codes Period Previous period
100P XXXXXXXXXXXXXX 1.936.173,73
(100) 1.936.173,73
Codes Amounts Number of shares
Changes during the period:
Structure of the capital
Different categories of shares
Gewone aandelen 1.936.173,73 13.322.480
Registered shares 8702 XXXXXXXXXXXXXX 7.577.833
Bearer shares and/or dematerialized shares 8703 XXXXXXXXXXXXXX 5.744.647
Codes Uncalled
capital
Capital called,
but not paid
Capital not paid
Uncalled capital (101) XXXXXXXXXXXXXX
Capital called, but not paid 8712 XXXXXXXXXXXXXX
Shareholders having yet to pay up in full
Codes Period
OWN SHARES
Held by the company itself
Amount of capital held
8721

Number of shares held
8722

Held by the subsidiaries
Amount of capital held
8731

Number of shares held
8732

Commitments to issue shares
Following the exercising of CONVERSION RIGHTS
Amount of outstanding convertible loans
8740

Amount of capital to be subscribed
8741

Corresponding maximum number of shares to be issued
8742

Following the exercising of SUBSCRIPTION RIGHTS
Number of outstanding subscription rights
8745

Amount of capital to be subscribed
8746

Corresponding maximum number of shares to be issued
8747


Authorized capital, not issued

8751 1.936.173,73

STATEMENT OF CAPITAL AND STRUCTURE OF SHAREHOLDINGS

Codes Period
Shared issued, not representing capital
Distribution
Number of shares held
8761

Number of voting rights attached thereto
8762

Allocation by shareholder
Number of shares held by the company itself
8771

Number of shares held by its subsidairies
8781

STRUCTURE OF SHAREHOLDINGS OF THE ENTERPRISE AS AT THE ANNUAL BALANCING OF THE BOOKS, AS IT APPEARS FROM THE STATEMENT RECEIVED BY THE ENTERPRISE

noemer deelneming Van de Velde Holding aandelen 13.556.710
7.996.000 58.98% warrants 14.002 0 - totaal
13.570.712 7.996.000 58.92%

PROVISIONS FOR OTHER LIABILITIES AND CHARGES

ALLOCATION OF THE HEADING 163/5 OF LIABILITIES IF THE AMOUNT IS CONSIDERABLE

Period

Codes Period
AMOUNTS PAYABLE GUARANTEED
(headings 17 and 42/48 of liabilities)
Amounts payable guaranteed by Belgian public authorities
Financial debts 8921
Subordinated loans 8931
Unsubordinated debentures 8941
Leasing and other similar obligations 8951
Credit institutions 8961
Other loans 8971
Trade debts 8981
Suppliers 8991
Bills of exchange payable 9001
Advance payments received on contracts in progress 9011
Remuneration and social security 9021
Other amounts payable 9051
Total amounts payable guaranteed by Belgian public authorities
9061
Amounts payable guaranteed by real guarantees given or irrevocably promised by the
enterprise on its own assets
Financial debts 8922
Subordinated loans 8932
Unsubordinated debentures 8942
Leasing and other similar obligations 8952
Credit institutions 8962
Other loans 8972
Trade debts 8982
Suppliers 8992
Bills of exchange payable 9002
Advance payments received on contracts in progress 9012

Taxes, remuneration and social security
9022
Taxes 9032
Remuneration and social security 9042
Other amounts payable 9052
Total amounts payable guaranteed by real guarantees given or irrevocably promised by the
enterprise on its own assets
9062

AMOUNTS PAYABLE FOR TAXES, REMUNERATION AND SOCIAL SECURITY
Taxes
(heading 450/3 of the liabilities)
Expired taxes payable 9072
Non expired taxes payable 9073 923.857,73
Estimated taxes payable 450 9.007.910,81
Remuneration and social security (heading 454/9 of the liabilities)
Amount
due to the National Office of Social Security
9076
Other amounts payable relating to remuneration and social security 9077 4.418.655,51
Nr. 0448.746.744 C 5.9
Period
ACCRUED CHARGES AND DEFERRED INCOME
Allocation of the heading 492/3 of liabilities if the amount is considerable

OPERATING RESULTS

Codes Period Previous period
OPERATING INCOME
Net turnover
Broken down by categories of activity
Verkoop van dameslingerie en gerelateerde diensten 197.350.314,84 190.673.290,00
Allocation into geographical markets
Eurozone 144.326.054,00 139.297.537,00
Niet-eurozone 53.024.261,00 51.375.753,00
Other operating income
Total amount of subsidies and compensatory amounts obtained from public
authorities
740
OPERATING COSTS
Employees for whom the company has submitted a DIMONA declaration or are
recorded in the general personnel register
Total number at the closing date 9086 556 524
Average number of employees calculated in full-time equivalents 9087 491,3 478,7
Number of actual worked hours 9088 681.919 672.606
Personnel costs
Remuneration and direct social benefits 620 18.931.066,53 17.843.466,00
Employers' social security contributions 621 6.146.443,83 5.868.957,00
Employers' premiums for extra statutory insurances 622 1.086.585,43 624.088,00
Other personnel costs 623 1.445.994,11 1.464.364,00
Old-age and widows' pensions 624
Provisions for pensions
Additions (uses and write-back) (+)/(-) 635
Amounts written off
Stocks and contracts in progress
Recorded 9110 1.366.657,07
Written back 9111 568.488,00
Trade debtors
Recorded 9112 89.347,00
Written back 9113 197.468,58
Provisions for risks and charges
Additions
Uses and write-back
9115
9116
435.301,04 76.000,00
7.000,00
Other operating charges
Taxes related to operation 640 266.130,62 231.929,00
Other charges 641/8 15.818,00
Hired temporary staff and persons placed at the enterprise's disposal
Total number at the closing date 9096
Average number calculated as full-time equivalents 9097 29,0 24,0
Number of actual worked hours 9098 70.854 47.411
Charges to the enterprise 617 1.766.215,90 1.101.001,00

FINANCIAL AND EXTRAORDINARY RESULTS

Codes Period Previous period
FINANCIAL RESULTS
Other financial income
Amount of subsidies granted by public authorities, credited to income for the
period
Capital subsidies 9125
Interest subsidies 9126
Allocation of other financial income
Wisselresultaten 1.236.952,27 1.587.776,00
Financiële kortingen 843.654,62 948.737,00
Amounts written down off loan issue expenses and repayment premiums
6501

Intercalary interests recorded as assets

6503


Value adjustments to current assets

Appropriations
6510

Write-backs
6511

Other financial charges

Amount of the discount borne by the enterprise, as a result of negotiating

amounts receivable
653

Provisions of a financial nature
Appropriations 6560
Uses and write-backs 6561
Allocation of other financial charges
Wisselresultaten 172.585,32 927.603,00
Financiële kortingen 5.319.639,99 5.012.289,00
Overige financiële kosten 517.625,57 619.686,00
EXTRAORDINARY RESULTS
-----------------------

Allocation other extraordinary income

Allocation other extraordinary charges

Codes Period INCOME TAXE Income taxes on the result of the current period Income taxes paid and withholding taxes due or paid ............................................................................... Income taxes on previous periods Taxes and withholding taxes due or paid ................................................................................................... Excess of income tax prepayments and withholding taxes recorded under assets .................................... Estimated additional taxes ........................................................................................................................ Estimated additional taxes estimated or provided for ................................................................................ 11.331.889,96 11.302.232,96 29.657,00 9135 9134 9137 9136 9139 9138 9140

In so far as income taxes of the current period are materially affected by differences between the profit before taxes, as stated in the annual accounts, and the estimated taxable profit

An indication of the effect of extraordinary results on the amount of income taxes relating to the current period

Codes Period
Status of deferred taxes
Deferred taxes representing assets 9141
Accumulated tax losses deductible from future taxable profits 9142
Other deferred taxes representing assets
Deferred taxes representing liabilities 9144

Allocation of deferred taxes representing liabilities
Codes Period Previous Period
THE TOTAL AMOUNT OF VALUE ADDED TAX AND TAXES BORNE BY THIRD
PARTIES
The total amount of value added tax charged
To the enterprise (deductible) 9145 19.378.961,75 20.601.098,00
By the enterprise 9146 20.896.789,11 22.725.818,00
Amounts retained on behalf of third parties for
Payroll withholding taxes 9147 3.656.045,77 3.525.587,52
Withholding taxes on investment income 9148 3.395.183,00 5.045.638,00

RIGHTS AND COMMITMENTS NOT REFLECTED IN THE BALANCE SHEET

Code Period
PERSONAL GUARANTEES GIVEN OR IRREVOCABLY PROMISED BY THE ENTERPRISE
AS SECURITY FOR DEBTS AND COMMITMENTS OF THIRD PARTIES
9149

Of which

Bills of exchange in circulation endorsed by the enterprise
9150

Bills of exchange in circulation drawn or guaranteed by the enterprise
9151
Maximum amount for which other debts or commitments of third parties are guaranteed by the
enterprise
9153
REAL GUARANTEES
Real guarantees given or irrevocably promised by the enterprise on its own assets as a security of
debts and commitments from the enterprise
Mortgages
Book value of the immovable proporties mortgaged 9161
Amount of registration 9171
Pledging on goodwill - amount of registration 9181
Pledging of other assets - Book value of other assets pledged
9191

Guarantees provided on future assets - Amount of assets involved

9201
Real guarantees given or irrevocably promised by the enterprise on its own assets as a
security of debts and commitments from third parties
Mortgages
Book value of the immovable proporties mortgaged 9162
Amount of registration 9172
Pledging on goodwill - amount of registration 9182
Pledging of other assets - Book value of other assets pledged 9192

Guarantees provided on future assets - Amount of assets involved
9202
GOODS AND VALUES, NOT DISCLOSED IN THE BALANCE SHEET, HELD BY THIRD
PARTIES IN THEIR OWN NAME BUT AT RISK TO AND FOR THE BENEFIT OF THE
ENTERPRISE
SUBSTANCIAL COMMITMENTS TO ACQUIRE FIXED ASSETS
SUBSTANCIAL COMMITMENTS TO DISPOSE FIXED ASSETS
FORWARD TRANSACTIONS
Goods purchased (to be received)
9213

Goods sold (to be delivered)
9214

Currencies purchased (to be received)
9215

Currencies sold (to be delivered)
9216

INFORMATION RELATING TO TECHNICAL GUARANTEES, IN RESPECT OF SALES OR SERVICES

INFORMATION CONCERNING IMPORTANT LITIGATION AND OTHER COMMITMENTS NOT MENTIONED ABOVE

IF THEREIS A SUPPLEMENTARY RETIREMENTS OR SURVIVOR'S PENSION PLAN IN FAVOUR OF THE PERSONNEL OR THE EXECUTIVES OF THE ENTERPRISE, A BRIEF DESCRIPTION OF SUCH PLAN OF THE MEASURES TAKEN BY THE ENTERPRISE TO COVER THE RESULTING CHARGES

Van de Velde heeft vijf toegezegde pensioenregelingen in België. Deze plannen worden op gecumuleerde basis toegelicht, daar deze zich situeren in eenzelfde geografische locatie en van hetzelfde type zijn, nl. toegezegde bijdrageregelingen.

De pensioenregeling in België is onderhevig aan de Belgische wetgeving en betreft een groepsverzekering met rendementswaarborg (Tak21). Vanaf boekjaar 2016 wordt de pensioenregeling geboekt als een toegezegde pensioenregeling ten gevolge van een aanpassing in

RIGHTS AND COMMITMENTS NOT REFLECTED IN THE BALANCE SHEET

IF THEREIS A SUPPLEMENTARY RETIREMENTS OR SURVIVOR'S PENSION PLAN IN FAVOUR OF THE PERSONNEL OR THE EXECUTIVES OF THE ENTERPRISE, A BRIEF DESCRIPTION OF SUCH PLAN OF THE MEASURES TAKEN BY THE ENTERPRISE TO COVER THE RESULTING CHARGES

de Belgische wetgeving. De eerste actuariële waardering vond plaats op 30 juni 2016. De resulterende verplichting werd in de half jaarlijkse financiële staten geboekt tegenover niet-gerealiseerde resultaten aangezien dit aanzien wordt als een wijziging in veronderstellingen. Een tweede actuariële waardering vond plaats op 31 december 2016. Op 31 december 2017 werd er voor de derde keer een actuariële waardering opgemaakt.

De pensioenregeling in België is gefinancierd. Indien de toegekende rendementen van de verzekeraar lager zijn dan de wettelijk bepaalde minimumgarantie, wordt dit door de verzekeraar aan de werkgever gemeld. Deze laatste kan dan dit tekort aanzuiveren in zijn financieringsfonds bij de verzekeraar.

De beleggingen hebben voornamelijk betrekking op 'qualifying insurance policies' (99,9% van alle beleggingen). De verwachte bijdrage door de werkgever voor het jaar eindigend 31 december 2018 bedraagt 623 duizend euro.

De voornaamste actuariële veronderstellingen gebruikt in de waardering van de pensioenplannen worden weergegeven in de onderstaande tabel:

Jaarlijkse loonsverhogingen (exclusief inflatie) : 1% Jaarlijkse inflatie : 2% Jaarlijkse verdisconteringsvoet : 1,9% Pensioenleeftijd in jaren : 65 Totaal aantal contracten van actieve personeelsleden : 955 Gemiddelde leeftijd in jaren : 43 Geschatte duratie in jaren : 18,8

Een analyse van de verwachte uitkeringen van de niet verdisconteerde pensioen beloningen wordt weergegeven in de onderstaande tabel: Verwachte uitkeringen

Binnen 12 maanden (boekjaar eindigend 31 december 2017) : 4 Tussen 2 en 5 jaar : 808 Tussen 5 jaar en 10 jaar : 1.187 Totale verwachte uitkeringen1.999

Code Period
PENSIONS FUNDED BY THE ENTERPRISE
Estimated amount of the commitments resulting for the enterprise from past services
9220

Methods of estimation

......................... .. NATURE AND BUSINESS PURPOSE OF OFF-BALANCE SHEET ARRANGEMENTS

Provided the risks or benefits arising from such arrangements are material and where the disclosure of such risks or benefits is necessary for assessing the financial position of the company; if required, the financial impact of these arrangements have to be mentioned too:

OTHER RIGHTS AND COMMITMENTS NOT REFLECTED IN THE BALANCE

Codes Period Previous period
AFFILIATED ENTERPRISES
Financial fixed assets
(280/1) 71.193.862,61 67.994.119,00

Investments
(280) 71.193.862,61 67.994.119,00
Amounts receivable subordinated 9271
Other amounts receivable 9281
Amounts receivable 9291 5.308.767,78 6.702.858,00

After one year
9301 2.480.214,55 1.662.326,00
Within one year 9311 2.828.553,23 5.040.532,00

Current investments
9321

Shares
9331
Amounts receivable 9341
Amounts payable 9351 23.595.867,16 21.473.746,00

After one year
9361
Within one year 9371 23.595.867,16 21.473.746,00
Personal and real guarantees
Provided or irrevocably promised by the enterprise, as security for debts or
commitments of affiliated enterprises
9381 2.296.191,36 2.484.148,59
Provided or irrevocably promised by affiliated enterprises as security for debts or
commitments of the enterprise
9391
Other substancial financial commitments 9401

Financial results
Income from financial fixed assets 9421 7.735.464,72 10.050.756,00

Income from current assets
9431

Other financial income
9441

Debts charges
9461 30.386,50 23.942,00

Other financial charges
9471

Gains and losses on disposal of fixed assets
Obtained capital gains
9481

Obtained capital losses
9491

ENTERPRISES LINKED BY PARTICIPATING INTERESTS
Financial fixed assets
(282/3)
Investments (282)
Amounts receivable subordinated 9272
Other amounts receivable 9282
Amounts receivable
9292
After one year 9302
Within one year 9312

Amounts payable
9352
After one year 9362
Within one year 9372

TRANSACTIONS WITH RELATED PARTIES OUTSIDE NORMAL MARKET CONDITIONS

Mention of such operations if they are material, stating the amount of these transactions, the nature of the relationship with the related party and other information about the transactions necessary for the understanding of the financial position of the company:

Nil

Codes Period
DIRECTORS AND MANAGERS, INDIVIDUALS OR BODIES CORPORATE WHO CONTROL
THE ENTERPRISE WITHOUT BEING ASSOCIATED THEREWITH OR OTHER ENTERPRISES
CONTROLLED BY THESE PERSONS, OTHER ENTERPRISES CONTROLLED BY THE SUB
B. MENTIONED PERSONS WITHOUT BEING ASSOCIATED THEREWITH
Amounts receivable from these persons 9500
Conditions on amounts receivable
Guarantees provided in their favour 9501
Guarantees provided in their favour - Main condition
Other significant commitments undertaken in their favour 9502
Other significant commitments undertaken in their favour - Main condition
Amount of direct and indirect remunerations and pensions, included in the income statement, as
long as this disclosure does not concern exclusively or mainly, the situation of a single identifiable
person
To directors and managers 9503
To former directors and former managers 9504
Codes Period
AUDITORS OR PEOPLE THEY ARE LINKED TO
Auditor's fees
9505 59.515,00

Fees for exceptional services or special missions executed in the company by the auditor
Other attestation missions
95061

Tax consultancy
95062

Other missions external to the audit
95063 25.862,00

Fees for exceptional services or special missions executed in the company by people
they are linked to
Other attestation missions
95081

Tax consultancy
95082

Other missions external to the audit
95083

Mention related to article 133 paragraph 6 from the Companies Code

FAIR VALUE OF FINANCIAL DERIVATIVES NOT MEASURED AT FAIR VALUE WITH INDICATION ABOUT THE NATURE AND THE VOLUME OF THE INSTRUMENTS

INFORMATION RELATING TO CONSOLIDATED ACCOUNTS

INFORMATION THAT MUST BE PROVIDED BY EACH COMPANY, THAT IS SUBJECT OF COMPANY LAW ON THE CONSOLIDATED ANNUAL ACCOUNTS OF ENTERPRISES

The enterprise has drawn up publiced a consolidated annual statement of accounts and a management report*

The enterprise has not published a consolidated annual statement of accounts and a management report, since it is exempt for this obligation for the following reason*

The enterprise and its subsidiaries on consolidated basis exceed not more than one of the limits mentioned in art. 16 of Company Law*

The enterprise itself is a subsidiary of an enterprise which does prepare and publish consolidated accounts, in which her yearly statement of accounts is included*

If yes, justification of the compliance with all conditions for exemption set out in art. 113 par. 2 and 3 of Company Law:

Name, full address of the registered office and, for an enterprise governed by Belgian Law, the company number of the parent company preparing and publishing the consolidated accounts required:

INFORMATION TO DISCLOSE BY THE REPORTING ENTERPRISE BEING A SUBSIDIARY OR A JOINT SUBSIDIARY

Name, full address of the registered office and, for an enterprise governed by Belgian Law, the company number of the parent company(ies) and the specification whether the parent company(ies) prepare(s) and publish(es) consolidated annual accounts in which the annual accounts of the enterprise are included**

If the parent company(ies) is (are) (an) enterprise(s) governed by foreign law disclose where the consolidated accounts can be obtained**

* Delete where no appropriate.

** Where the accounts of the enterprise are consolidated at different levels, the information should be given for the consolidated aggregate at the highest level on the one hand and the lowest level on the other hand of which the enterprise is a subsidiary and for which consolidated accounts are prepared and published.

FINANCIAL RELATIONSHIPS OF THE GROUP LED BY THE COMPANY IN BELGIUM WITH THE AUDITOR(S) OR PEOPLE HE (THEY) IS (ARE) LINKED TO

Codes Period
Mentions related to article 134, paragraphs 4 and 5 from the Companies Law
Auditor's fees for carrying out an auditor's mandate on the level of the group led by the company that

publishes the information
9507

Fees for exceptional services or special missions executed in this group by the auditor(s)
Other attestation missions
95071

Tax consultancy
95072

Other missions external to the audit
95073

Fees for the people they are linked to the auditor(s) for carrying out an auditor's mandate on the level
of the group led by the company that publishes the information
9509

Fees for exceptional services or special missions executed in this group by the people they are linked

to the auditor(s)
Other attestation missions
95091

Tax consultancy
95092

Other missions external to the audit
95093

Mention related to article 133, paragraph 6 from the Companies Law

SOCIAL REPORT

Numbers of joint industrial committees which are competent for the enterprise: 109 215

STATEMENT OF THE PERSONS EMPLOYED

EMPLOYEES FOR WHOM THE COMPANY HAS SUBMITTED A DIMONA DECLARATION OR ARE RECORDED IN THE GENERAL PERSONNEL REGISTER

During the period Codes Total 1. Men
Average number of employees
Full-time
1001 375,2 68,8 306,4
Part-time
1002 157,0 9,2 147,8
Total of full-time equivalents (FTE)
1003 491,3 74,3 417,0
Number of hours actually worked
Full-time
1011 526.985 109.417 417.568
Part-time
1012 154.934 7.492 147.442
Total
1013 681.919 116.909 565.010
Personnel costs
Full-time
1021 21.777.350,55 5.652.452,73 16.124.897,82
Part-time
1022 5.832.739,35 479.171,47 5.353.567,88
Total
1023 27.610.089,90 6.131.624,20 21.478.465,70
Advantages in addition to wages
1033
During the previous period Codes P. Total 1P. Men 2P. Women
Average number of employees
1003 478,7 67,5 411,2
Number of hours actually worked
1013 672.606 109.387 563.219

Personnel costs
1023 25.800.875,00 5.457.517,00 20.343.358,00
Advantages in addition to wages
1033
At the closing date of the period Codes 1. Full-time 2. Part-time 3. Total in full-time
equivalents
Number of employees 105 404 152 515,9
By nature of the employment contract
Contract for an indefinite period 110 395 151 506,3
Contract for a definite period 111 9 1 9,6
Contract for the execution of a specifically assigned work 112
Replacement contract 113
According to the gender and by level of education
Male
120 74 7 77,9
primary education 1200
secondary education 1201 35 3 37,4
higher education (non-university) 1202 25 2 25,7
university education 1203 14 2 14,8
Female 121 330 145 438,0
primary education 1210 10 14 19,4
secondary education 1211 187 96 257,8
higher education (non-university) 1212 70 27 91,5
university education 1213 63 8 69,3
By professional category
Management staff 130 3 3,0
Employees 134 194 44 226,7
Workers 132 207 108 286,2
Other 133

HIRED TEMPORARY STAFF AND PERSONNEL PLACED AT THE ENTERPRISE'S DISPOSAL

Codes
During the period
1. Temporary
personnel
2. Persons placed
at the disposal
of the enterprise
Average number of employees
150 29,0

Number of hours actually worked
151 70.854

Charges of the enterprise
152 1.766.215,90

TABLE OF PERSONNEL CHANGES DURING THE PERIOD

ENTRIES Codes 1. Full-time 2. Part-time 3. Total in full-time
equivalents
The number of employees for whom the company has
submitted a DIMONA declaration or are recorded in the
personnel register during the financial year in the general
personnel register
205 81 4 83,0
By nature of the employment contract
Contract for an indefinite period 210 67 3 68,4
Contract for a definite period 211 14 1 14,6
Contract for the execution of a specifically assigned work 212
Replacement contract 213
DEPARTURES
Codes
1. Full-time 2. Part-time 3. Total in full-time
equivalents
The number of employees with a in the DIMONA
declaration indicated or in the general personnel register
listed date of termination of the contract during the

financial year
305 47 6 51,1
By nature of the employment contract
Contract for an indefinite period 35 6 39,1
Contract for a definite period 311 12 12,0
Contract for the execution of a specifically assigned work 312
Replacement contract 313
According to the reason for termination of the
employment contract
Retirement 340 3 2 4,0
Unemployment with company allowance 341 1 0,8
Dismissal 342 2 1 2,8
Other reason 343 42 2 43,5
Of which
the number of persons who continue to
render services to the enterprise at least
half-time on a self-employed basis
350

INFORMATION WITH REGARD TO TRAINING RECEIVED BY EMPLOYEES DURING THE PERIOD

Total number of official advanced professional training projects at
company expense
Codes Male Codes Female
Number of participating employees 5801 99 5811 310
Number of training hours 5802 1.571 5812 5.917
Costs for the company 5803 110.756,10 5813 481.750,04
of which gross costs directly linked to the training 58031 114.966,55 58131 505.609,26
of which paid contributions and deposits in collective funds 58032 5.887,56 58132 33.362,84
of which received subsidies (to be deducted) 58033 10.098,01 58133 57.222,06
Total number of less official and unofficial advance professional
training projects at company expense
Number of participating employees 5821 13 5831 55
Number of training hours 5822 1.560 5832 6.625
Costs for the company 5823 79.567,00 5833 334.525,53
Total number of initial professional training projects at company
expense
Number of participating employees 5841 5851
Number of training hours 5842 5852
Costs for the company 5843 5853

VALUATION RULES

I. Principle

The valuation rules are determined according to the provisions of chapter II of the Royal Decree of 30 January 2001 in implementation of Company Law.

In respect of the requirement of a true and fair view the valuation rules of this Decree shall be deviated from in the following exceptional cases:

Niet van toepassing

Reasons for the deviation:

Niet van toepassing

The effects of the deviation on assets and liabilities, financial position and the result before taxation of the enterprise are as follows:

Niet van toepassing

The valuation rules are (changed) (not changed) in wording and application as compared to the preceding financial period; if so, the change related to:

and has a EUR. (positive) (negative) effect on the result for the financial period before taxation to the amount of

(is) the material effect results from: significantly effected by income or charges relating to a previous financial period; if so, The income statement (is not)

The figures of the financial period are not comparable with those of the preceding financial period for the following reason:

(To compare the annual accounts of both financial periods involved following information should be taken into account): (In order to maintain comparability the figures of the preceding financial period are adjusted regarding to following reasons)

In absence of objective standards of appraisal following valuation of foreseeable liabilities, contingent losses and diminuations in value is inevitably uncertain:

Other information necessary to give a true and fair view of the enterprise's liabilities, financial position and result:

2. Fixed assets

Formation expenses:

Formation expenses are charged against income except for following costs capitalised:

Reorganization costs:

The reorganization costs are (capitalised) (not capitalised) during the financial period; if so, this is justified as follows:

Intangible fixed assets:

The amount of intangible assets includes EUR research and development costs. Depreciation of these costs and the depreciations for goodwill are charged over a period of (more than) (not more than) 5 years; if more than 5 years the period involved is justified as follows :

Tangible fixed assets:

During the financial period the tangible assets (are) (are not) revalued; if so, the revaluation if justified are as follows:

VALUATION RULES

Depreciation recorded during the financial period:

Method Basis Depreciation rate
Assets S
(straightline)
R
(reducing balance)
O
(other)
NR
(not revalued)
R
(revalued)
Principal costs
Min. - Max.
Ancillary costs
Min. - Max.
1. Formation expenses
2. Intangible fixed assets
Software S 20,00 - 20,00 20,00 - 20,00
Merken S 20,00 - 20,00 20,00 - 20,00
3. Buildings*
Industriële gebouwen R 5,00 - 5,00 5,00 - 5,00
Commerciële gebouwen R 3,03 - 3,03 3,03 - 3,03
Isolatie gebouwen R 10,00 - 10,00 10,00 - 10,00
4. Plant, machinery and equipments *
R 10,00 - 20,00 10,00 - 20,00
5. Vehicles*
S 20,00 - 20,00 20,00 - 20,00
6. Office furniture *
R 10,00 - 20,00 10,00 - 20,00
7. Other tangible fixed assets

* Including leased assets wich should be disclosed on a separate line.

Tax deductible accelerated depreciation in excess of depreciation based on economic circumstances:

  • amount for the financial period: EUR.

  • cumulative amount regarding tangible assets acquired as of the financial period beginning after December 31, 1983:

Financial fixed assets:

During the financial period investments (are) (are not) revalued; if so, the revaluation is justified as follows:

3. Current assets

Inventories:

Inventories are valued at acquisition cost (to be disclosed) method, Fifo, Lifo, by identifying individually the price of each element or by the lower market value determined according to the method of the weighted average price

  1. Raw materials and consumables:

Methode van de standaardprijs. Om rekening te houden met de evolutie v/d marktwaarde v/d voorraad worden er waardeverminderingen toegepast

  1. Work in progress - finished goods:

Vervaardigingsprijs die tevens de indirecte productieprijs omvat Om rekening te houden met de evolutie v/d marktwaarde v/d vr worden er wvm toegepast

  1. Goods purchased for resale:

  2. Immovable property intended for sale:

Products:

  • costs that are only indirectly attributable to the product. - Production costs (include) (do not include)
  • Production costs of stock and work in progress the production of which exceeds more than one year on capital borrowed to finance the production. (includes) (does not include)

Stocks total valued at market value amount to % of its book value at the end of the financial period.

(This information is only required in the event of a substantial difference).

EUR.

VALUATION RULES

Contracts in progress:

Contracts in progress are valued (at production cost)

(at production cost increased by a portion of the profit according to the state of completion of the contract).

4. Liabilities

Debts:

(has) (has not) been recognised and capitalised. Liabilities (include) (do not include) long-term debts, bearing no interests or at an unusual low interest; if so, a discount

Foreign currencies:

Debts, liabilities and commitments denominated in foreign currencies are translated in EUR using following criteria: Volgens de officiële middenkoers genoteerd op de beurs van Brussel op afsluitdatum.

Exchange differences have been disclosed in the annual accounts as follows:

Positieve omrekeningsverschillen worden via overlopende rekeningen verwerkt; negatieve worden in het resultaat opgenomen.

Leasing agreements:

Concerning the rights to use property not capitalised (art. 102, § 1 of the Royal Decree of 30 January 2001 in implementation of consideration and rental relating to the financial period if the leased immovable property, Company Law),

amount to: EUR.

Nr. 0448.746.744 C 10
----- -------------- -- ------ -- --

ADDITIONAL INFORMATION

Talk to a Data Expert

Have a question? We'll get back to you promptly.