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Van de Velde NV

Registration Form Mar 28, 2025

4020_rns_2025-03-28_5f60d854-891b-44ca-80e3-a22ce921501e.pdf

Registration Form

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ANNUAL ACCOUNTS AND OTHER DOCUMENTS TO BE FILED IN
ACCORDANCE WITH THE BELGIAN COMPANIES AND ASSOCIATIONS
CODE
IDENTIFICATION DETAILS (at the filing date)
NAME:
Van de Velde NV
1
Legal form :
Public limited company
Address:
Lageweg
N°.
4
Postal code:
9260
Town:
Wichelen
Country:
Belgium
Register of legal persons - commercial court: Ghent, division Dendermonde
2
Website
:
www.vandevelde.eu
2
E-mail address
:
[email protected]
Company registration number 0448.746.744
DATE
03-01-2025
of filing the most recent document mentioning the date of publication of
the deed of incorporation and of the deed of amendment of the articles of association.
3
This filing concerns :
the ANNUAL ACCOUNTS in
X
4
EURO
approved by the general meeting of 30-04-2025
the OTHER DOCUMENTS
X
regarding
the financial year covering the period from 01-01-2024 to 31-12-2024
the preceding period of the annual accounts from
to
01-01-2023
31-12-2023
5
The amounts for the preceding period
are
/
are not
identical to the ones previously published.
Total number of pages filed:
59
Numbers of the sections of the standard model form not filed
because they serve no useful purpose:
6.1, 6.2.1, 6.2.2, 6.2.5, 6.3.4, 6.5.2, 6.8, 6.20, 8, 9, 11, 12, 13, 14, 15

Signature (name and position) Karel Verlinde CommV vast vertegenwoordigd door Karel Verlinde CEO

Signature (name and position) Herman Van de Velde NV vast vertegenwoordigd door Herman Van de Velde Voorzitter Raad van Bestuur

F-cap 1

Where appropriate, "in liquidation" is stated after the legal form. 1

Optional mention. 2

3 Tick the appropriate box(es).

If necessary, change to currency in which the amounts are expressed. 4

5 Strike out what does not apply.

LIST OF DIRECTORS, BUSINESS MANAGERS AND AUDITORS AND DECLARATION REGARDING A COMPLIMENTARY REVIEW OR CORRECTION ASSIGNMENT

LIST OF DIRECTORS, BUSINESS MANAGERS AND AUDITORS

COMPLETE LIST with surname, first names, profession, place of residence (address, number, postal code and town) and position within the company

HERMAN VAN DE VELDE NV 0460768212

Dendermondsesteenweg 90, 9230 Wetteren, Belgium

Mandate: Chairman of the board of directors, start: 24-04-2024, end: 28-04-2027 Represented by:

Van de Velde Herman 1

Dendermondsesteenweg 90 9230 Wetteren Belgium

Executive NV 0455.676.207

Strandjutterslaan 12, box 102-0202, 8670 Koksijde, Belgium

Mandate: Director, start: 26-04-2023, end: 24-04-2024 Represented by:

Goeminne Dirk 1

Strandjutterslaan 12 , box 102-0202 8670 Koksijde Belgium

YJC BV 0652.675.683

Bosveldweg 61, 1180 Uccle, Belgium

Mandate: Director, start: 24-04-2024, end: 30-04-2025 Represented by:

Jansen Yvan 1

Bosveldweg 61 1180 Uccle Belgium

MAVAC BV 0824.965.994

Daalstraat 34, 1852 Beigem, Belgium

Mandate: Director, start: 27-04-2022, end: 24-04-2024 Represented by:

Vaesen Marleen 1

Daalstraat 34 1852 Beigem Belgium

VALSEBA BV 0639.986.994

Albertplein 12, box 53, 8300 Knokke-Heist, Belgium

Mandate: Director, start: 27-04-2022, end: 30-04-2025 Represented by:

Maes Isabelle 1

Albertplein 12 , box 53 8300 Knokke-Heist Belgium

LIST OF DIRECTORS, BUSINESS MANAGERS AND AUDITORS (continued from previous page)

Karel Verlinde CommV 0724.565.452

Watermolenweg 24, 9260 Wichelen, Belgium

Mandate: Managing director, start: 26-04-2023, end: 29-04-2026 Represented by:

Verlinde Karel 1

Watermolenweg 24 9260 Wichelen Belgium

BVHX BV 0799.712.936

Elizabetlaan 164, 8300 Knokke-Heist, Belgium

Mandate: Director, start: 26-04-2023, end: 29-04-2026 Represented by:

Vanhoorickx Bruno 1

Bestuurder Elizabetlaan 164 8300 Knokke-Heist Belgium

PARCinvest BV 0861.089.685

Struikenlei 9, 2900 Schoten, Belgium

Mandate: Director, start: 26-04-2023, end: 29-04-2026 Represented by:

Salez Christian 1

Struikenlei 9 2900 Schoten Belgium

Bestuurder

VIANCABA BV 0861.208.263

Pelkemstraat 17, 9250 Waasmunster, Belgium

Mandate: Director, start: 27-08-2024, end: 30-04-2025 Represented by:

Van de Velde Liesbeth 1

Pelkemstraat 17 9250 Waasmunster Belgium

LAUREYS BENEDICTE

Berkenlaan 18, 8300 Knokke-Heist, Belgium

Mandate: Director, start: 24-04-2024, end: 28-04-2027

LAUREYS VERONIQUE

Mortelputstraat 37, 9830 Sint-Martens-Latem, Belgium

Mandate: Director, start: 26-04-2023, end: 29-04-2026

VAN DE VELDE GREET

Eenbeekstraat 5, 9070 Destelbergen, Belgium

Mandate: Director, start: 26-04-2023, end: 29-04-2026

VAN DE VELDE LIESBETH

Pelkemstraat 17, 9250 Waasmunster, Belgium

Mandate: Director, start: 24-04-2024, end: 27-08-2024

LIST OF DIRECTORS, BUSINESS MANAGERS AND AUDITORS (continued from previous page)

EY BEDRIJFSREVISOREN BV 0437.476.235

Pauline Van Pottelberghelaan 12, 9051 Sint-Denijs-Westrem, Belgium

Membership number: B160

Mandate: Auditor, start: 27-04-2022, end: 24-04-2024

Represented by:

Boelens Francis 1

Pauline Van Pottelberghelaan 12 9051 Sint-Denijs-Westrem Belgium

, Membership number : B160

PwC BEDRIJFSREVISOREN BV 0429.501.944

Culliganlaan 5, 1831 Diegem, Belgium

Membership number: B00009

Mandate: Auditor, start: 24-04-2024, end: 28-04-2027 Represented by:

Winne Lien 1

Blue Tower 1 - Sluisweg 1 9000 Gent Belgium

, Membership number : A02202

DECLARATION REGARDING A COMPLIMENTARY REVIEW OR CORRECTION ASSIGNMENT

The managing board declares that not a single audit or correction assignment has been given to a person not authorized to do so by law, pursuant to article 5 of the law of 17 March 2019 concerning the professions of accountant and tax advisor.

The annual accounts were / were not * audited or corrected by a certified accountant or by a company auditor who is not the statutory auditor.

If affirmative, should be mentioned hereafter: surname, first names, profession and address of each certified accountant or company auditor and their membership number at their Institute, as well as the nature of their assignment:

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

If the tasks mentioned under A or B are executed by accountants or fiscal accountants, the following information can be mentioned hereafter: surname, first names, profession and address of each accountant or fiscal accountant and their membership number at the Institute of Accountants and Tax advisors, as well as the nature of their assignment.

Surname, first names, profession and address Membership number Nature of the
assignment
(A, B, C and/or D)

* Strike out what does not apply.

** Optional mention.

ANNUAL ACCOUNTS

BALANCE SHEET AFTER APPROPRIATION

Notes Codes Period Preceding period
ASSETS
FORMATION EXPENSES 6.1 20
FIXED ASSETS 21/28 64.339.027 96.941.772
Intangible fixed assets 6.2 21 8.358.295 8.343.740
Tangible fixed assets 6.3 22/27 17.940.138 18.090.409
Land and buildings 22 13.135.153 12.625.234
Plant, machinery and equipment 23 3.835.828 3.562.056
Furniture and vehicles 24 436.648 605.622
Leasing and other similar rights 25
Other tangible fixed assets 26 56.978 56.978
Assets under construction and advance payments 27 475.531 1.240.519
Financial fixed assets 6.4 /
6.5.1
28 38.040.595 70.507.623
Affiliated Companies 6.15 280/1 25.998.960 58.437.060
Participating interests 280 25.998.960 58.437.060
Amounts receivable 281
Other companies linked by participating interests 6.15 282/3 11.672.061 11.672.061
Participating interests 282 11.672.061 11.672.061
Amounts receivable 283
Other financial fixed assets 284/8 369.574 398.502
Shares 284
Amounts receivable and cash guarantees 285/8 369.574 398.502
Notes Codes Period Preceding period
CURRENT ASSETS 29/58 130.624.457 129.711.300
Amounts receivable after more than one year 29 5.660.046 1.721.217
Trade debtors 290 782.894 114.603
Other amounts receivable 291 4.877.153 1.606.614
Stocks and contracts in progress 3 40.301.086 49.308.252
Stocks 30/36 40.301.086 49.308.252
Raw materials and consumables 30/31 7.489.408 7.860.324
Work in progress 32 8.991.215 8.914.429
Finished goods 33 23.820.463 32.533.499
Goods purchased for resale 34
Immovable property intended for sale 35
Advance payments 36
Contracts in progress 37
Amounts receivable within one year 40/41 20.130.380 19.371.811
Trade debtors 40 17.007.246 15.796.847
Other amounts receivable 41 3.123.134 3.574.964
Current investments 6.5.1 /
6.6
50/53 51.014.294 47.355.034
Own shares 50 12.989.280 6.595.959
Other investments 51/53 38.025.014 40.759.076
Cash at bank and in hand 54/58 12.168.152 10.313.774
Accruals and deferred income 6.6 490/1 1.350.498 1.641.212
TOTAL ASSETS 20/58 194.963.484 226.653.072
Notes Codes Period Preceding period
EQUITY AND LIABILITIES
EQUITY 10/15 128.438.312 150.639.135
Contributions 6.7.1 10/11 2.679.596 2.679.596
Capital 10 1.936.174 1.936.174
Issued capital 100 1.936.174 1.936.174
6
Uncalled capital
101
Beyond capital 11 743.423 743.423
Share premium account 1100/10 743.423 743.423
Other 1109/19
Revaluation surpluses 12
Reserves 13 112.455.192 134.574.634
Reserves not available 130/1 13.182.897 6.789.576
Legal reserve 130 193.617 193.617
Reserves not available statutorily 1311
Purchase of own shares 1312 12.989.280 6.595.959
Financial support 1313
Other 1319
Untaxed reserves 132
Available reserves 133 99.272.295 127.785.058
Accumulated profits (losses) (+)/(-) 14 13.262.833 13.262.833
Capital subsidies 15 40.690 122.071
Advance to shareholders on the distribution of net
7
assets
19
PROVISIONS AND DEFERRED TAXES 16
Provisions for liabilities and charges 160/5
Pensions and similar obligations 160
Taxes 161
Major repairs and maintenance 162
Environmental obligations 163
Other liabilities and charges 6.8 164/5
Deferred taxes 168

Amount to be deducted from the issued capital. 6

Amount to be deducted from the other components of equity. 7

Notes Codes Period Preceding period
AMOUNTS PAYABLE 17/49 66.525.173 76.013.937
Amounts payable after more than one year 6.9 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
Advance payments on contracts in progress 176
Other amounts payable 178/9
Amounts payable within one year 6.9 42/48 66.249.032 75.783.101
Current portion of amounts payable after more than
one year falling due within one year
42
Financial debts 43
Credit institutions 430/8
Other loans 439
Trade debts 44 26.873.494 34.691.331
Suppliers 440/4 26.873.494 34.691.331
Bills of exchange payable 441
Advance payments on contracts in progress 46
Taxes, remuneration and social security 6.9 45 8.061.654 7.630.407
Taxes 450/3 1.403.694 1.246.529
Remuneration and social security 454/9 6.657.960 6.383.878
Other amounts payable 47/48 31.313.884 33.461.363
Accruals and deferred income 6.9 492/3 276.141 230.835
TOTAL LIABILITIES 10/49 194.963.484 226.653.072

Amount to be deducted from the issued capital. 6

Amount to be deducted from the other components of equity. 7

PROFIT AND LOSS ACCOUNT

Notes Codes Period Preceding period
Operating income 70/76A 194.550.313 203.796.312
Turnover 6.10 70 198.068.779 202.235.742
Stocks of finished goods and work and contracts
in progress: increase (decrease)
(+)/(-) 71 -8.511.595 -3.911.455
Produced fixed assets 72
Other operating income 6.10 74 4.993.130 5.472.024
Non-recurring operating income 6.12 76A
Operating charges 60/66A 163.931.964 175.081.244
Goods for resale, raw materials and consumables 60 28.779.765 31.776.089
Purchases 600/8 29.834.439 29.972.015
Stocks: decrease (increase) (+)/(-) 609 -1.054.674 1.804.074
Services and other goods 61 92.912.111 102.250.910
Remuneration, social security and pensions (+)/(-) 6.10 62 34.246.391 32.923.674
Amortisations of and other amounts written down on
formation expenses, intangible and tangible fixed
assets
630 5.516.199 6.680.759
Amounts written down on stocks, contracts in progress
and trade debtors: additions (write-backs)
(+)/(-) 6.10 631/4 2.222.761 1.188.486
Provisions for liabilities and charges: appropriations (uses
and write-backs)
(+)/(-) 6.10 635/8
Other operating charges 6.10 640/8 254.736 261.325
Operating charges reported as assets under
restructuring costs
(-) 649
Non-recurring operating charges 6.12 66A
Operating profit (loss) (+)/(-) 9901 30.618.349 28.715.067
Notes Codes Period Preceding period
Financial income 75/76B 20.316.894 20.279.582
Recurring financial income 75 20.316.894 20.279.582
Income from financial fixed assets 750 17.182.627 16.875.504
Income from current assets 751 1.678.769 958.349
Other financial income 6.11 752/9 1.455.497 2.445.729
Non-recurring financial income 6.12 76B
Financial charges 6.11 65/66B 37.974.057 7.132.670
Recurring financial charges 65 5.574.057 7.095.770
Debt charges 650 640.633 920.734
Amounts written down on current assets other than
stocks, contracts in progress and trade debtors:
additions (write-backs)
(+)/(-) 651
Other financial charges 652/9 4.933.425 6.175.036
Non-recurring financial charges 6.12 66B 32.400.000 36.900
Profit (Loss) for the period before taxes (+)/(-) 9903 12.961.186 41.861.979
Transfer from deferred taxes 780
Transfer to deferred taxes 680
Income taxes on the result 6.13
(+)/(-)
67/77 4.937.742 4.575.591
Taxes 670/3 4.937.742 4.846.571
Adjustment of income taxes and write-back of tax
provisions
77 0 270.980
Profit (Loss) of the period (+)/(-) 9904 8.023.444 37.286.388
Transfer from untaxed reserves 789
Transfer to untaxed reserves 689
Profit (Loss) of the period available for appropriation (+)/(-) 9905 8.023.444 37.286.388
N°. 0448.746.744 F-cap 5
----- -------------- -- --------- --

APPROPRIATION ACCOUNT

Codes Period Preceding period
Profit (Loss) to be appropriated (+)/(-) 9906 21.286.277 50.549.221
Profit (Loss) of the period available for appropriation (+)/(-) (9905 8.023.444 37.286.388
Profit (Loss) of the preceding period brought forward (+)/(-) )
14P
13.262.833 13.262.833
Transfers from equity 791/2 22.119.442
from contributions 791
from reserves 792 22.119.442
Appropriations to equity 691/2 6.535.150
to contributions 691
to legal reserve 6920
to other reserves 6921 6.535.150
Profit (loss) to be carried forward (+)/(-) (14) 13.262.833 13.262.833
Shareholders' contribution in respect of losses 794
Profit to be distributed 694/7 30.142.886 30.751.238
Compensation for contributions 694 30.142.886 30.751.238
Directors or managers 695
Employees 696
Other beneficiaries 697
Codes Period Preceding period
CONCESSIONS, PATENTS LICENSES, KNOW-HOW, BRANDS
AND SIMILAR RIGHTS
Acquisition value at the end of the period 8052P xxxxxxxxxxxxxxx 57.556.847
Movements during the period
Acquisitions, including produced fixed assets 8022 3.047.062
Sales and disposals 8032
Transfers from one heading to another (+)/(-) 8042
Acquisition value at the end of the period 8052 60.603.909
Amortisations and amounts written down at the end of the period 8122P xxxxxxxxxxxxxxx 49.294.307
Movements during the period
Recorded 8072 2.951.307
Written back 8082
Acquisitions from third parties 8092
Cancelled owing to sales and disposals 8102
Transfers from one heading to another (+)/(-) 8112
Amortisations and amounts written down at the end of the period 8122 52.245.614
NET BOOK VALUE AT THE END OF THE PERIOD 211 8.358.295
Codes Period Preceding period
GOODWILL
Acquisition value at the end of the period 8053P xxxxxxxxxxxxxxx 2.496.884
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 2.496.884
Amortisations and amounts written down at the end of the period 8123P xxxxxxxxxxxxxxx 2.415.684
Movements during the period
Recorded 8073 81.200
Written back 8083
Acquisitions from third parties 8093
Cancelled owing to sales and disposals 8103
Transferred from one heading to another (+)/(-) 8113
Amortisations and amounts written down at the end of the period 8123 2.496.884
NET BOOK VALUE AT THE END OF THE PERIOD 212 0

STATEMENT OF TANGIBLE FIXED ASSETS

Codes Period Preceding period
LAND AND BUILDINGS
xxxxxxxxxxxxxxx 36.691.455
Acquisition value at the end of the period 8191P
Movements during the period
Acquisitions, including produced fixed assets 8161 1.632.670
Sales and disposals 8171
Transfers from one heading to another (+)/(-) 8181
Acquisition value at the end of the period 8191 38.324.125
Revaluation surpluses at the end of the period 8251P xxxxxxxxxxxxxxx
Movements during the period
Recorded 8211
Acquisitions from third parties 8221
Cancelled 8231
Transferred from one heading to another (+)/(-) 8241
Revaluation surpluses at the end of the period 8251
Amortisations and amounts written down at the end of the period 8321P xxxxxxxxxxxxxxx 24.066.221
Movements during the period
Recorded 8271 1.122.750
Written back 8281
Acquisitions from third parties 8291
Cancelled owing to sales and disposals 8301
Transferred from one heading to another (+)/(-) 8311
Amortisations and amounts written down at the end of the period 8321 25.188.972
NET BOOK VALUE AT THE END OF THE PERIOD (22) 13.135.153
Codes Period Preceding period
PLANT, MACHINERY AND EQUIPMENT
Acquisition value at the end of the period 8192P xxxxxxxxxxxxxxx 39.757.975
Movements during the period
Acquisitions, including produced fixed assets 8162 1.413.834
Sales and disposals 8172 202.845
Transfers from one heading to another (+)/(-) 8182
Acquisition value at the end of the period 8192 40.968.963
Revaluation surpluses at the end of the period 8252P xxxxxxxxxxxxxxx
Movements during the period
Recorded 8212
Acquisitions from third parties 8222
Cancelled 8232
Transferred from one heading to another (+)/(-) 8242
Revaluation surpluses at the end of the period 8252
Amortisations and amounts written down at the end of the period 8322P xxxxxxxxxxxxxxx 36.195.919
Movements during the period
Recorded 8272 1.081.967
Written back 8282
Acquisitions from third parties 8292
Cancelled owing to sales and disposals 8302 144.749
Transferred from one heading to another (+)/(-) 8312
Amortisations and amounts written down at the end of the period 8322 37.133.136
NET BOOK VALUE AT THE END OF THE PERIOD (23) 3.835.828
Codes Period Preceding period
FURNITURE AND VEHICLES
Acquisition value at the end of the period 8193P xxxxxxxxxxxxxxx 5.738.726
Movements during the period
Acquisitions, including produced fixed assets 8163 89.717
Sales and disposals 8173 926.654
Transfers from one heading to another (+)/(-) 8183
Acquisition value at the end of the period 8193 4.901.790
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
Amortisations and amounts written down at the end of the period 8323P xxxxxxxxxxxxxxx 5.133.105
Movements during the period
Recorded 8273 258.691
Written back 8283
Acquisitions from third parties 8293
Cancelled owing to sales and disposals 8303 926.654
Transfers from one heading to another (+)/(-) 8313
Amortisations and amounts written down at the end of the period 8323 4.465.141
NET BOOK VALUE AT THE END OF THE PERIOD (24) 436.648
Codes Period Preceding period
OTHER TANGIBLE FIXED ASSETS
Acquisition value at the end of the period 8195P xxxxxxxxxxxxxxx 76.478
Movements during the period
Acquisitions, including produced fixed assets 8165
Sales and disposals 8175
Transfers from one heading to another (+)/(-) 8185
Acquisition value at the end of the period 8195 76.478
Revaluation surpluses at the end of the period 8255P xxxxxxxxxxxxxxx
Movements during the period
Recorded 8215
Acquisitions from third parties 8225
Cancelled 8235
Transferred from one heading to another (+)/(-) 8245
Revaluation surpluses at the end of the period 8255
Amortisations and amounts written down at the end of the period 8325P xxxxxxxxxxxxxxx 19.500
Movements during the period
Recorded 8275
Written back 8285
Acquisitions from third parties 8295
Cancelled owing to sales and disposals 8305
Transferred from one heading to another (+)/(-) 8315
Amortisations and amounts written down at the end of the period 8325 19.500
NET BOOK VALUE AT THE END OF THE PERIOD (26) 56.978
Codes Period Preceding period
ASSETS UNDER CONSTRUCTION AND ADVANCE PAYMENTS
Acquisition value at the end of the period 8196P xxxxxxxxxxxxxxx 1.240.519
Movements during the period
Acquisitions, including produced fixed assets 8166
Sales and disposals 8176 764.989
Transfers from one heading to another (+)/(-) 8186
Acquisition value at the end of the period 8196 475.531
Revaluation surpluses at the end of the period 8256P xxxxxxxxxxxxxxx
Movements during the period
Recorded 8216
Acquisitions from third parties 8226
Cancelled 8236
Transferred from one heading to another (+)/(-) 8246
Revaluation surpluses at the end of the period 8256
Amortisations 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
Transferred from one heading to another (+)/(-) 8316
Amortisations and amounts written down at the end of the period 8326
NET BOOK VALUE AT THE END OF THE PERIOD (27) 475.531

STATEMENT OF FINANCIAL FIXED ASSETS

Codes Period Preceding period
AFFILIATED COMPANIES - PARTICIPATING INTERESTS AND
SHARES
Acquisition value at the end of the period 8391P xxxxxxxxxxxxxxx 8.349.579
Movements during the period
Acquisitions 8361
Sales and disposals 8371 38.100
Transfers from one heading to another (+)/(-) 8381
Acquisition value at the end of the period 8391 8.311.479
Revaluation surpluses at the end of the period 8451P xxxxxxxxxxxxxxx 67.148.000
Movements during the period
Recorded 8411
Acquisitions from third parties 8421
Cancelled 8431
Transferred from one heading to another (+)/(-) 8441
Revaluation surpluses at the end of the period 8451 67.148.000
Amounts written down at the end of the period 8521P xxxxxxxxxxxxxxx 17.060.519
Movements during the period
Recorded 8471 32.400.000
Written back 8481
Acquisitions from third parties 8491
Cancelled owing to sales and disposals 8501
Transferred from one heading to another (+)/(-) 8511
Amounts written down at the end of the period 8521 49.460.519
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) 25.998.960
AFFILIATED COMPANIES - AMOUNTS RECEIVABLE
NET BOOK VALUE AT THE END OF THE PERIOD 281P xxxxxxxxxxxxxxx
Movements during the period
Appropriations 8581
Repayments 8591
Amounts written down 8601
Amounts written back 8611
Exchange differences (+)/(-) 8621
Other movements (+)/(-) 8631
NET BOOK VALUE AT THE END OF THE PERIOD (281)
ACCUMULATED AMOUNTS WRITTEN DOWN ON AMOUNTS
RECEIVABLE AT END OF THE PERIOD
8651
Codes Period Preceding period
COMPANIES LINKED BY PARTICIPATING INTERESTS -
PARTICIPATING INTERESTS AND SHARES
Acquisition value at the end of the period 8392P xxxxxxxxxxxxxxx 26.612.901
Movements during the period
Acquisitions 8362
Sales and disposals 8372
Transfers from one heading to another (+)/(-) 8382
Acquisition value at the end of the period 8392 26.612.901
Revaluation surpluses at the end of the period 8452P xxxxxxxxxxxxxxx
Movements during the period
Recorded 8412
Acquisitions from third parties 8422
Cancelled 8432
Transferred from one heading to another (+)/(-) 8442
Revaluation surpluses at the end of the period 8452
Amounts written down at the end of the period 8522P xxxxxxxxxxxxxxx 14.940.840
Movements during the period
Recorded 8472
Written back 8482
Acquisitions from third parties 8492
Cancelled owing to sales and disposals 8502
Transferred from one heading to another (+)/(-) 8512
Amounts written down at the end of the period 8522 14.940.840
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) 11.672.061
COMPANIES LINKED BY PARTICIPATING INTERESTS - AMOUNTS
RECEIVABLE
NET BOOK VALUE AT THE END OF THE PERIOD 283P xxxxxxxxxxxxxxx
Movements during the period
Appropriations 8582
Repayments 8592
Amounts written down 8602
Amounts written back 8612
Exchange differences (+)/(-) 8622
Other movements (+)/(-) 8632
NET BOOK VALUE AT THE END OF THE PERIOD (283)
ACCUMULATED AMOUNTS WRITTEN DOWN ON AMOUNTS
RECEIVABLE AT END OF THE PERIOD
8652
Codes Period Preceding period
OTHER COMPANIES - PARTICIPATING INTERESTS AND
SHARES
Acquisition value at the end of the period 8393P xxxxxxxxxxxxxxx
Movements during the period
Acquisitions 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
Transferred 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
Transferred 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 COMPANIES - AMOUNTS RECEIVABLE
NET BOOK VALUE AT THE END OF THE PERIOD 285/8P xxxxxxxxxxxxxxx 398.502
Movements during the period
Appropriations 8583
Repayments 8593 28.929
Amounts written down 8603
Amounts written back 8613
Exchange differences (+)/(-) 8623
Other movements (+)/(-) 8633
NET BOOK VALUE AT THE END OF THE PERIOD (285/8) 369.574
ACCUMULATED AMOUNTS WRITTEN DOWN ON AMOUNTS
RECEIVABLE AT END OF THE PERIOD
8653

PARTICIPATING INTERESTS INFORMATION

PARTICIPATING INTERESTS AND OTHER RIGHTS IN OTHER COMPANIES

The following list mentions the companies in which the company holds a participating interest (recorded in headings 280 and 282 of assets), as well as the companies in which the company holds rights (recorded in headings 284 and 51/53 of assets) for an amount of at least 10% of the capital, the equity or a class of shares of the company.

NAME, full address of the REGISTERED Rights held Data extracted from the most recent annual accounts
OFFICE and, for an entity governed by
Belgian law, the COMPANY
Directly Subs
idiaries
Annual Cur Equity Net result
REGISTRATION NUMBER Nature Number % % accounts
as per
rency
code
(+) or (-)
(in units)
VAN DE VELDE GMBH & CO KG 31-12-2024 EUR 3.095.284 497.180
Foreign company
GRABENSTRASSE 24
40213 DUSSELDORF
Germany
Aandeel 100 100,00 0,00
VAN DE VELDE VERWALTUNGS
GMBH
31-12-2024 EUR 15.284 -2.081
Foreign company
GRABENSTRASSE 24
40213 DUSSELDORF
Germany
Aandeel 1 100,00 0,00
VAN DE VELDE TERMELO ES
KERESKEDELMI KFT
31-12-2024 HUF 229.546.242 21.902.593
Foreign company
SELYEM U. 4
7100 SZEKSZARD
Hungary
Aandeel 1 100,00 0,00
VAN DE VELDE UK Ltd
Foreign company
Conduit Street 22/22a , box 1st floor
W1S 2XT LONDEN
United Kingdom
31-12-2024 GBP 1 0
Aandeel 1 100,00 0,00
MARIE JO GMBH 31-12-2024 EUR 3.439.055 82.720
Foreign company
GRABENSTRASSE 24
40213 DUSSELDORF
Germany
Aandeel 1 100,00 0,00
VAN DE VELDE IBERICA SL
Foreign company
CALLE SANTA EULALIA 5
08012 BARCELONA
Spain
31-12-2024 EUR 7.537.827 803.361
Aandeel 40.200 100,00 0,00

PARTICIPATING INTERESTS INFORMATION

PARTICIPATING INTERESTS AND OTHER RIGHTS IN OTHER COMPANIES

The following list mentions the companies in which the company holds a participating interest (recorded in headings 280 and 282 of assets), as well as the companies in which the company holds rights (recorded in headings 284 and 51/53 of assets) for an amount of at least 10% of the capital, the equity or a class of shares of the company.

NAME, full address of the REGISTERED Rights held Data extracted from the most recent annual accounts
OFFICE and, for an entity governed by
Belgian law, the COMPANY
Directly Subs
idiaries
Annual Cur Equity Net result
REGISTRATION NUMBER Nature Number % % accounts
as per
rency
code
(+) or (-)
(in units)
VAN DE VELDE NORTH AMERICA
INC
31-12-2024 USD 1.547.055 890.559
Foreign company
Madison Avenue 1252
NY10128 NEW YORK
United States
Aandeel 100 100,00 0,00
VAN DE VELDE FINLAND OY 31-12-2024 EUR 209.396 34.621
Foreign company
Fashion Center, Härkähaankuja 14
01730 VANTAA
Finland
Aandeel 800 100,00 0,00
VAN DE VELDE DENMARK APS 31-12-2024 DKK 3.804.382 1.687.128
Foreign company
LEJRVEJ 8
6330 PADBORG
Denmark
Aandeel 125 100,00 0,00
TOP FORM INTERNATIONAL LIMITED 30-06-2024 HKD 396.034.000 1.500.000
Foreign company
Tseuk Luk Street 33 , box 7/F Port33
SAN PO KONG KOWLOON
Hong Kong
RIGBY & PELLER LTD Aandeel 55.184.708 25,66 0,00
Foreign company
Conduit Street 22/22a , box 1st Floor
W1S 2XT LONDEN
United Kingdom
31-12-2024 GBP 2.812.508 187.392
Aandeel 2.175 100,00 0,00
VAN DE VELDE CONFECTION SARL 31-12-2024 TND 9.429.284 4.600.284
Foreign company
ROUTE DE SOUSSE 25
4020 KONDAR
Tunisia
Aandeel 5.000 99,98 0,02

PARTICIPATING INTERESTS INFORMATION

PARTICIPATING INTERESTS AND OTHER RIGHTS IN OTHER COMPANIES

The following list mentions the companies in which the company holds a participating interest (recorded in headings 280 and 282 of assets), as well as the companies in which the company holds rights (recorded in headings 284 and 51/53 of assets) for an amount of at least 10% of the capital, the equity or a class of shares of the company.

NAME, full address of the REGISTERED Rights held Data extracted from the most recent annual accounts
OFFICE and, for an entity governed by
Belgian law, the COMPANY
Directly Subs
idiaries
Annual Cur Equity Net result
REGISTRATION NUMBER Nature Number % % accounts
as per
rency
code
(+) or (-)
(in units)
INTIMACY MANAGEMENT COMPANY
LLC
31-12-2024 USD 1.991.425 97.965
Foreign company
Madison Avenue 1252
NY10128 NEW YORK
United States
Aandeel 1.000 0,00 100,00
VAN DE VELDE RETAIL INC
Foreign company
Madison Avenue 1252
NY10128 NEW YORK
United States
31-12-2024 USD 11.717.667 -62.160
Aandeel 1.000 100,00 0,00
VAN DE VELDE NEDERLAND BV
Foreign company
BEETHOVENSTRAAT 28
1077 JH AMSTERDAM
Netherlands
NL820025367B01
31-12-2024 EUR 4.241.378 440.800
Aandeel 90.000 100,00 0,00

CURRENT INVESTMENTS AND ACCRUALS AND DEFERRED INCOME

Codes Period Preceding period
CURRENT INVESTMENTS - OTHER INVESTMENTS
Shares and investments other than fixed income investments 51
Shares – Book value increased with the uncalled amount 8681
Shares – Uncalled amount 8682
Precious metals and works of art 8683
Fixed-income securities 52
Fixed income securities issued by credit institutions 8684
Term accounts with credit institutions 53 37.000.000 40.000.000
With a remaining term or notice
up to one month 8686
between one month and one year 8687 37.000.000
over one year 8688 40.000.000
Other investments not mentioned above 8689 1.025.014 759.076

ACCRUALS AND DEFERRED INCOME

Allocation of account 490/1 of assets if the amount is significant

Over te dragen kosten 1.168.692 Verkregen bankintresten 181.805

Period

STATEMENT OF CAPITAL AND SHAREHOLDERS' STURCTURE

Capital

Issued capital at the end of the period Issued capital at the end of the period

Modifications during the period

Composition of the capital Share types

Registered shares

Shares dematerialized

Codes Period Preceding period
100P XXXXXXXXXXXXXX 1.936.174
(100) 1.936.174
Codes Period Number of shares
Modifications during the period
Composition of the capital
gewone aandelen 1.936.174 13.062.417
Registered shares 8702 XXXXXXXXXXXXXX 7.573.991
Shares dematerialized 8703 XXXXXXXXXXXXXX 5.488.426
Codes Uncalled amount Called up amount, unpaid
Unpaid capital
Uncalled capital (101) XXXXXXXXXXXXXX
Called up capital, unpaid 8712 XXXXXXXXXXXXXX
Shareholders that still need to pay up in full
Codes Period
Own shares
Held by the company itself
Amount of capital held 8721 66.610
Number of shares 8722 449.386
Held by a subsidiary
Amount of capital held 8731
Number of shares 8732
Commitments to issuing shares
Owing to the exercise 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
Owing to the exercise 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
Authorised capital not issued 8751 1.936.174
N°. 0448.746.744 F-cap 6.7.1
Codes Period
Shares issued, non-representing capital
Distribution
Number of shares 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 subsidiaries 8781
Period
ADDITIONAL NOTES REGARDING CONTRIBUTIONS (INCLUDING CONTRIBUTIONS IN THE FORM OF

SERVICES OR KNOW-HOW)

SHAREHOLDERS' STRUCTURE OF THE COMPANY AT YEAR-END CLOSING DATE

As reflected in the notifications received by the company pursuant to article 7:225 of the Belgian Companies and Associations Code, article 14 fourth paragraph of the law of 2 May 2007 on the publication of major holdings and article 5 of the Royal Decree of 21 August 2008 on further rules for certain multilateral trading facilities.

NAME of the persons who hold rights of the company, together with the
ADDRESS (of the registered office, in the case of a legal person) and the
COMPANY REGISTRATION NUMBER, in the case of an company governed
by Belgian law
Rights held
Nature Number of voting rights
Attached to
securities
Not attached
to securities
%
Van de Velde Holding
Lageweg 4
9260 Schellebelle
Belgium
0461.297.752
Op naam 7.496.250 0 57,39

STATEMENT OF AMOUNTS PAYABLE AND ACCRUALS AND DEFERRED INCOME (LIABILITIES)

Codes Period
BREAKDOWN OF AMOUNTS PAYABLE WITH AN ORIGINAL TERM OF MORE THAN
ONE YEAR, ACCORDING TO THEIR RESIDUAL MATURITY
Current portion of amounts payable after more than one year falling due within one year
Financial debts 8801
Subordinated loans 8811
Unsubordinated debentures 8821
Leasing and other similar obligations 8831
Credit institutions 8841
Other loans 8851
Trade debts 8861
Suppliers 8871
Bills of exchange payable 8881
Advance payments on contracts in progress 8891
Other amounts payable 8901
Total current portion of amounts payable after more than one year falling due within one year (42)
Amounts payable with a remaining term of more than one year, yet less than 5 years
Financial debts 8802
Subordinated loans 8812
Unsubordinated debentures 8822
Leasing and other similar obligations 8832
Credit institutions 8842
Other loans 8852
Trade debts 8862
Suppliers 8872
Bills of exchange payable 8882
Advance payments on contracts in progress 8892
Other amounts payable 8902
Total amounts payable with a remaining term of more than one year, yet less than 5 years 8912
Amounts payable with a remaining term of more than 5 years
Financial debts 8803
Subordinated loans 8813
Unsubordinated debentures 8823
Leasing and other similar obligations 8833
Credit institutions 8843
Other loans 8853
Trade debts 8863
Suppliers 8873
Bills of exchange payable 8883
Advance payments on contracts in progress 8893
Other amounts payable 8903
Amounts payable with a remaining term of more than 5 years 8913
Codes Period
AMOUNTS PAYABLE GUARANTEED
(included in accounts 17 and 42/48 of liabilities)
Amounts payable guaranteed by the Belgian government agencies
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 on contracts in progress 9011
Remuneration and social security 9021
Other amounts payable 9051
Total of the amounts payable guaranteed by the Belgian government agencies 9061
Amounts payable guaranteed by real securities given or irrevocably promised by the
company 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 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 securities given or irrevocably promised by the
company on its own assets
9062
Codes
Period
TAXES, REMUNERATION AND SOCIAL SECURITY
Taxes
(headings 450/3 and 178/9 of liabilities)
Outstanding tax debts 9072
Accruing taxes payable 9073 1.403.694
Estimated taxes payable 450
Remuneration and social security (headings 454/9 and 178/9 of liabilities)
Amounts due to the National Social Security Office 9076
Other amounts payable in respect of remuneration and social security 9077 6.657.960

ACCRUALS AND DEFERRED INCOME

Allocation of heading 492/3 of liabilities if the amount is significant

Period

OPERATING RESULTS

Codes Period Preceding period
OPERATING INCOME
Net turnover
Allocation by categories of activity
omzet dames lingerie en badmode en bijkomende service² 194.550.313 203.796.312
Allocation by geographical market
Eurozone 150.009.321 157.966.931
Niet-eurozone 44.540.992 45.829.381
Other operating income
Operating subsidies and compensatory amounts received from
public authorities
740
OPERATING CHARGES
Employees for whom the company submitted a DIMONA declaration or
who are recorded in the general personnel register
Total number at the closing date 9086 517 527
Average number of employees calculated in full-time equivalents 9087 472,8 479,5
Number of actual hours worked 9088 630.451 639.703
Personnel costs
Remuneration and direct social benefits 620 23.504.921 23.810.736
Employers' contribution for social security 621 6.763.467 6.884.312
Employers' premiums for extra statutory insurance 622 1.597.298 455.137
Other personnel costs 623 2.380.706 1.773.489
Retirement and survivors' pensions 624
Codes Period Preceding period
Provisions for pensions and similar obligations
Appropriations (uses and write-backs) (+)/(-) 635
Depreciations
On stock and contracts in progress
Recorded 9110 1.550.244 1.222.565
Written back 9111
On trade debtors
Recorded 9112 672.517
Written back 9113 34.079
Provisions for liabilities and charges
Appropriations 9115
Uses and write-backs 9116
Other operating charges
Taxes related to operation 640 254.736 257.559
Other 641/8 0 3.766
Hired temporary staff and personnel placed at the company's
disposal
Total number at the closing date 9096
Average number calculated in full-time equivalents 9097 7,8 16,2
Number of actual hours worked 9098 15.012 31.040
Costs to the company 617 396.000 867.341

FINANCIAL RESULTS

Codes Period Preceding period
RECURRING FINANCIAL INCOME
Other financial income
Subsidies paid by public authorities, added to the profit and loss account
Capital subsidies 9125
Interest subsidies 9126
Allocation of other financial income
Exchange differences realized 754
Other
Wisselresultaten 909.604 1.822.730
Financiële kortingen 545.894 623.000
RECURRING FINANCIAL CHARGES
Depreciation of loan issue expenses 6501
Capitalised interests 6502
Depreciations on current assets
Recorded 6510
Written back 6511
Other financial charges
Amount of the discount borne by the company, as a result of negotiating
amounts receivable
653
Provisions of a financial nature
Appropriations 6560
Uses and write-backs 6561
Allocation of other financial costs
Exchange differences realized 654
Results from the conversion of foreign currencies 655
Other
Wisselresultaten 1.199.349 2.085.797
Financiële kortingen 3.333.369 3.666.735
Overige financiële kosten 372.210 422.504

INCOME AND CHARGES OF EXCEPTIONAL SIZE OR FREQUENCY

Codes Period Preceding period
NON-RECURRING INCOME 76
Non-recurring operating income (76A)
Write-back of depreciation and of amounts written off intangible and
tangible fixed assets
760
Write-back of provisions for extraordinary operating liabilities and charges 7620
Capital profits on disposal of intangible and tangible fixed assets 7630
Other non-recurring operating income 764/8
Non-recurring financial income (76B)
Write-back of amounts written down financial fixed assets 761
Write-back of provisions for extraordinary financial liabilities and
charges
7621
Capital profits on disposal of financial fixed assets 7631
Other non-recurring financial income 769
NON-RECURRING CHARGES 66 32.400.000 36.900
Non-recurring operating charges (66A)
Non-recurring depreciation of and amounts written off formation
expenses, intangible and tangible fixed assets
660
Provisions for extraordinary operating liabilities and charges:
appropriations (uses)
(+)/(-) 6620
Capital losses on disposal of intangible and tangible fixed assets 6630
Other non-recurring operating charges 664/7
Non-recurring operating charges carried to assets as restructuring
costs
(-) 6690
Non-recurring financial charges (66B) 32.400.000 36.900
Amounts written off financial fixed assets 661 32.400.000 36.900
Provisions for extraordinary financial liabilities and charges -
appropriations (uses)
(+)/(-) 6621
Capital losses on disposal of financial fixed assets 6631
Other non-recurring financial charges 668
Non-recurring financial charges carried to assets as restructuring
costs
(-) 6691

TAXES

Period

Codes Period
INCOME TAXES
Income taxes on the result of the period 9134 4.782.065
Income taxes paid and withholding taxes due or paid 9135 5.999.068
Excess of income tax prepayments and withholding taxes paid recorded under assets 9136 1.217.003
Estimated additional taxes 9137
Income taxes on the result of prior periods 9138 155.676
Additional income taxes due or paid 9139 155.676
Additional income taxes estimated or provided for 9140
Major reasons for the differences between pre-tax profit, as it results from the annual accounts,
and estimated taxable profit
Verworpen uitgaven 1.181.151
DBI -17.182.416
Fiscale stimuli -10.728.687
Waardevermindering financieel vast actief 32.400.000

Influence of non-recurring results on income taxes on the result of the period

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

VALUE-ADDED TAXES AND TAXES BORNE BY THIRD PARTIES

Value-added taxes charged

To the company (deductible)

By the company

Amounts withheld on behalf of third party by way of

Payroll withholding taxes

Withholding taxes on investment income

Codes Period Preceding period
9145 27.873.936 28.070.948
9146 29.625.071 29.592.882
9147 5.012.917 4.998.015
9148 3.738.952 3.573.487

RIGHTS AND COMMITMENTS NOT REFLECTED IN THE BALANCE SHEET

Codes Period
PERSONAL GUARANTEES PROVIDED OR IRREVOCABLY PROMISED BY THE COMPANY AS
SECURITY FOR DEBTS AND COMMITMENTS OF THIRD PARTIES
9149
Of which
Bills of exchange in circulation endorsed by the company 9150
Bills of exchange in circulation drawn or guaranteed by the company 9151
Maximum amount for which other debts or commitments of third parties are guaranteed by the
company
9153
REAL GUARANTEES
Real guarantees provided or irrevocably promised by the company on its own assets as security
of debts and commitments of the company
Mortgages
Book value of the immovable properties mortgaged 91611
Amount of registration 91621
For irrevocable mortgage mandates, the amount for which the agent can take
registration
91631
Pledging of goodwill
Maximum amount up to which the debt is secured and which is the subject of
registration
91711
For irrevocable mandates to pledge goodwill, the amount for which the agent can take the
inscription
91721
Pledging of other assets or irrevocable mandates to pledge other assets
Book value of the immovable properties mortgaged 91811
Maximum amount up to which the debt is secured 91821
Guarantees provided or irrevocably promised on future assets
Amount of assets in question 91911
Maximum amount up to which the debt is secured 91921
Vendor's privilege
Book value of sold goods 92011
Amount of the unpaid price 92021
Codes Period
Real guarantees provided or irrevocably promised by the company on its own assets as security
of debts and commitments of third parties
Mortgages
Book value of the immovable properties mortgaged 91612
Amount of registration 91622
For irrevocable mortgage mandates, the amount for which the agent can take
registration
91632
Pledging of goodwill
Maximum amount up to which the debt is secured and which is the subject of registration 91712
For irrevocable mandates to pledge goodwill, the amount for which the agent can take the
inscription
91722
Pledging of other assets or irrevocable mandates to pledge other assets
Book value of the immovable properties mortgaged 91812
Maximum amount up to which the debt is secured 91822
Guarantees provided or irrevocably promised on future assets
Amount of assets in question 91912
Maximum amount up to which the debt is secured 91922
Vendor's privilege
Book value of sold goods 92012
Amount of the unpaid price 92022
Codes Period
GOODS AND VALUES, NOT REFLECTED IN THE BALANCE SHEET, HELD BY THIRD PARTIES IN

THEIR OWN NAME BUT FOR THE BENEFIT AND AT THE RISK OF THE COMPANY

SUBSTANTIAL COMMITMENTS TO ACQUIRE FIXED ASSETS

SUBSTANTIAL COMMITMENTS TO DISPOSE OF FIXED ASSETS

9213
9214
9215
9216 11.287.161

COMMITMENTS RELATING TO TECHNICAL GUARANTEES IN RESPECT OF SALES OR SERVICES

Period

AMOUNT, NATURE AND FORM CONCERNING LITIGATION AND OTHER IMPORTANT COMMITMENTS

SETTLEMENT REGARDING THE COMPLEMENTARY RETIREMENT OR SURVIVORS' PENSION FOR PERSONNEL AND BOARD MEMBERS

Brief description

Van de Velde heeft zeven 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 pensioenregelingen.

Naast de Belgische pensioenregelingen heeft Van de Velde eveneens pensioenregelingen voor hun personeel in het buitenland. Deze pensioenregelingen zijn toegezegde bijdrageregelingen. Deze pensioenprovisie op balans bedraagt 24 duizend euro voor 2024 (24 duizend euro voor 2023).

De pensioenregeling in België is onderhevig aan de Belgische wetgeving en betreft een groepsverzekering met rendementswaarborg (Tak21), het betreft een toegezegde pensioenregeling. Sinds 2016 wordt er jaarlijks op 31 december een actuariële waardering opgemaakt door een onafhankelijke actuaris.

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. De werkgever 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 op 31 december 2024 bedraagt 1.096 duizend euro.

De voornaamste actuariële veronderstellingen gebruikt in de waardering van de pensioenplannen worden weergegeven in onderstaande tabel: 2024 2023 Jaarlijkse loonsverhogingen (exclusief inflatie) leeftijd 20-24: 6,60% 6,00% leeftijd 25-29: 5,10% 5,10% leeftijd 30-34: 2,60% 2,60% leeftijd 35-39: 2,10% 2,10% leeftijd 40-44: 3,10% 3,10% vanaf leeftijd 45: 1,60% 1,60% Jaarlijkse inflatie 2,30% 2,30% Jaarlijkse verdisconteringsvoet 3,70% 3,20% Pensioenleeftijd in jaren 65 65 Totaal aantal contracten van actieve personeelsleden 1.001 1.025 Gemiddelde leeftijd in jaren 45,5 44,9 Geschatte duratie in jaren 16,35 16,00

Een analyse van de verwachte uitkeringen van de niet verdisconteerde pensioenbeloningen wordt weergegeven in onderstaande tabel: Verwachte uitkeringen Binnen 12 maanden (boekjaar eindigend 31 december 2025) 652 Tussen 2 jaar en 5 jaar 729 Tussen 5 jaar en 10 jaar 4.042 Totale verwachte uitkeringen 5.424

De contante waarde van pensioenverplichtingen hangt af van een aantal factoren die actuarieel worden bepaald op basis van een aantal veronderstellingen. De veronderstellingen die

zijn gebruikt bij het berekenen van de nettokosten (inkomsten) uit hoofde van pensioenen omvatten de verdisconteringsvoet. Veranderingen in deze veronderstellingen hebben invloed op de boekwaarde van de pensioenverplichtingen.

Van de Velde bepaalt de gepaste verdisconteringsvoet op het einde van elk jaar. Dit is de rentevoet die gehanteerd dient te worden om de contante waarde van de geschatte toekomstige kasstromen, vereist om de pensioenverplichtingen te voldoen, te bepalen. Bij het bepalen van de geschikte verdisconteringsvoet neemt Van de Velde de rentevoet van hoogwaardige bedrijfsobligaties uitgedrukt in de valuta waarin de pensioenen zullen worden betaald en met een looptijd die vergelijkbaar is met die van de overeenkomstige pensioenverplichting.

Andere belangrijke veronderstellingen voor pensioenverplichtingen, zoals de verwachte jaarlijkse groeivoet van salarissen en uittredekansen, zijn deels gebaseerd op de huidige marktomstandigheden en deels op bedrijfseigen parameters.

De tabel hieronder geeft de gevoeligheid weer van de verdisconteringsvoet op de verplichting uit hoofde van toegezegde pensioenrechten: Waarderingstrend -0,5% Origineel Waarderingstrend +0,5% Verdisconteringsvoet 3,20% 3,70% 4,20% Verplichting uit hoofde toegezegde pensioenrechten 9.882 9.439 8.694 Marktwaarde fondsbeleggingen 8.441 7.911 7.427

N°. 0448.746.744 F-cap 6.14
----- -------------- -- ------------ -- --

De tabel hieronder geeft de gevoeligheid weer van de uittredes uit het plan op de verplichting uit hoofde van toegezegde pensioenrechten: Origineel Gevoeligheid Uittredes uit het plan werkgeverstabel 0,00% Verplichting uit hoofde

toegezegde pensioenrechten 9.439 10.674

De gevoeligheidsanalyse in bovenstaande tabellen is bepaald op basis van een methode die de impact op de verplichting uit hoofde van de toegezegde pensioenrechten weergeeft, ten gevolge van redelijke veranderingen in significante veronderstellingen zich voordoend op het einde van de periode. Deze analyse is gebaseerd op een verandering in een significante veronderstelling, die alle overige veronderstellingen constant houdt. De gevoeligheidsanalyse is mogelijks niet representatief voor werkelijke veranderingen in de verplichtingen uit hoofde van de pensioenrechten omdat het onwaarschijnlijk is dat veranderingen in de veronderstellingen zich in isolatie van elkaar zouden voordoen.

De bovenvermelde pensioenplannen zijn voor groepsdoeleinden en ze resulteren niet in een underfunding onder BEGAAP.

Measures taken to cover the related charges

Code Period
PENSIONS FUNDED BY THE COMPANY ITSELF
Estimated amount of the commitments resulting from past services 9220
Methods of estimation
Period
NATURE AND FINANCIAL IMPACT OF SIGNIFICANT EVENTS AFTER THE CLOSING DATE not reflected in
the balance sheet or income statement
Period
COMMITMENTS TO PURCHASE OR SALE AVAILABLE TO THE COMPANY AS ISSUER OF OPTIONS FOR
SALE OR PURCHASE
Period
NATURE, COMMERCIAL OBJECTIVE AND FINANCIAL CONSEQUENCES OF TRANSACTIONS NOT
REFLECTED IN THE BALANCE SHEET
If the risks and benefits resulting from such transactions are of any meaning and if publishing such risks
and benefits is necessary to appreciate the financial situation of the company
Period
OTHER RIGHTS AND COMMITMENTS NOT REFLECTED IN THE BALANCE SHEET (including those that
cannot be calculated)
2 beschikbare kredietlijnen waaraan een negatieve pledge is verbonden (niet in gebruik) 10.000.000

RELATIONSHIPS WITH AFFILIATED COMPANIES, ASSOCIATED COMPANIES AND OTHER COMPANIES LINKED BY PARTICIPATING INTERESTS

Codes Period Preceding period
AFFILIATED COMPANIES
Financial fixed assets (280/1) 25.998.960 58.437.060
Participating interests (280) 25.998.960 58.437.060
Subordinated amounts receivable 9271
Other amounts receivable 9281
Amounts receivable 9291 5.537.169 2.215.407
Over one year 9301 1.149.971 1.524.045
Within one year 9311 4.387.198 691.361
Current investments 9321
Shares 9331
Amounts receivable 9341
Amounts payable 9351 13.322.845 25.159.503
Over one year 9361
Within one year 9371 13.322.845 25.159.503
Personal and real guarantees
Provided or irrevocably promised by the company as security for debts or
commitments of affiliated companies
9381 220.781 215.270
Provided or irrevocably promised by affiliated companies as security for
debts or commitments of the company
9391
Other significant financial commitments 9401
Financial results
Income from financial fixed assets 9421 17.182.416 16.875.504
Income from current assets 9431 64.594 90.942
Other financial income 9441
Debt charges 9461 612.360 848.219
Other financial charges 9471
Disposal of fixed assets
Capital profits realised 9481
Capital losses realised 9491

RELATIONSHIPS WITH AFFILIATED COMPANIES, ASSOCIATED COMPANIES AND OTHER COMPANIES LINKED BY PARTICIPATING INTERESTS

Codes Period Preceding period
ASSOCIATED COMPANIES
Financial fixed assets 9253
Participating interests 9263
Subordinated amounts receivable 9273
Other amounts receivable 9283
Amounts receivable 9293
Over one year 9303
Within one year 9313
Amounts payable 9353
Over one year 9363
Within one year 9373
Personal and real guarantees
Provided or irrevocably promised by the company as security for debts or
commitments of affiliated companies
9383
Provided or irrevocably promised by affiliated companies as security for
debts or commitments of the company
9393
Other significant financial commitments 9403
COMPANIES LINKED BY PARTICIPATING INTERESTS
Financial fixed assets 9252 11.672.061 11.672.061
Participating interests 9262 11.672.061 11.672.061
Subordinated amounts receivable 9272
Other amounts receivable 9282
Amounts receivable 9292
Over one year 9302
Within one year 9312
Amounts payable 9352 637.945 517.702
Over one year 9362
Within one year 9372 637.945 517.702

Period

RELATIONSHIPS WITH AFFILIATED COMPANIES, ASSOCIATED COMPANIES AND OTHER COMPANIES LINKED BY PARTICIPATING INTERESTS

TRANSACTIONS WITH AFFILIATED PARTIES BEYOND NORMAL MARKET CONDITIONS

Mention of these transactions if they are significant, including the amount of the transactions, the nature of the link, and all information about the transactions that should be necessary to get a better understanding of the financial situation of the company

nihil

FINANCIAL RELATIONSHIPS WITH

Codes Period
DIRECTORS AND MANAGERS, INDIVIDUALS OR LEGAL PERSONS WHO CONTROL
THE COMPANY DIRECTLY OR INDIRECTLY WITHOUT BEING ASSOCIATED
THEREWITH, OR OTHER COMPANIES CONTROLLED DIRECTLY OR INDIRECTLY BY
THESE PERSONS
Amounts receivable from these persons 9500
Principal conditions regarding amounts receivable, rate of interest, duration, any amounts repaid,
cancelled or written off
Guarantees provided in their favour 9501
Other significant commitments undertaken in their favour 9502
Amount of direct and indirect remunerations and pensions, reflected 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
THE AUDITOR(S) AND THE PERSONS WHOM HE (THEY) IS (ARE) COLLABORATING
WITH
Auditors' fees 9505 165.000
Fees for exceptional services or special assignments executed within the company by the auditor
Other audit assignments 95061 47.000
Tax consultancy assignments 95062
Other assignments beyondthe audit 95063
Fees for exceptional services or special assignments executed within the company by people the
auditor(s) is (are collaborating with
Other audit assignments 95081
Tax consultancy assignments 95082 34.318
Other assignments beyond the audit 95083

Mentions related to article 3:64, § 2 and § 4 of the Belgian Companies and Associations Code

DERIVATIVE FINANCIAL INSTRUMENTS THAT ARE NOT VALUED BASED UPON THE REAL VALUE

FOR EACH CATEGORY OF DERIVATIVE FINANCIAL INSTRUMENTS THAT ARE NOT VALUED BASED UPON THE REAL VALUE

Period Preceding period
Category of
derivative financial
instruments
Hedged risk Speculation/
coverage
Size Book value Real value Book value Real value
FX Forward NOK
verkoop
Wisselkoersrisico Hedging 12000000 4.067 -10.665
FX Forward GBP
verkoop
Wisselkoersrisico Hedging 3600000 -66.247 20.722
FX Forward CHF
verkoop
Wisselkoersrisico Hedging 3000000 -4.209 -71.843
FX Forward DKK
verkoop
Wisselkoersrisico Hedging 0 -154
FX Forward CAD
verkoop
Wisselkoersrisico Hedging 3000000 -22.648 -5.609
FX Forward SEK
verkoop
Wisselkoersdekkin
g
Hedging 9000000 10.166
Book value Real value
FINANCIAL FIXED ASSETS RECORDED AT AN AMOUNT HIGHER THAN THE
REAL VALUE
Amount of separate assets or of its appropriate groups
Reasons why the book value has not decreased
Elements that lead to assume that it will be possible to realise the book value

DECLARATION WITH REGARD TO THE CONSOLIDATED ANNUAL ACCOUNTS

INFORMATION TO DISCLOSE BY EACH COMPANY GOVERNED BY THE BELGIAN COMPANIES AND ASSOCIATIONS CODE ON THE CONSOLIDATED ANNUAL ACCOUNTS

The company has prepared and published consolidated annual accounts and a consolidated annual report*

The company has not prepared consolidated annual accounts and a consolidated annual report, because of an exemption for the following reason(s)*

The company and its subsidiaries exceed, on a consolidated basis, not more than one of the criteria mentioned in article 1:26 of the Belgian Companies and Associations Code*

The company only has subsidiaries that, considering the evaluation of the consolidated capital, the consolidated financial position or the consolidated result, individually or together, are of negligible interest. (article 3:23 of the Belgian Companies and Associations Code)

The company itself is a subsidiary of a parent company that prepares and publishes consolidated annual accounts, in which the annual accounts are integrated by consolidation*

Name, full address of the registered office and, if it concerns companies under Belgian law, the company registration number of the parent company(ies) and the indication if this (these) parent company(ies) prepares (prepare) and publishes (publish) consolidated annual accounts, in which the annual accounts are included by means of consolidation**:

If the parent company(ies) is (are) (a) company(ies) governed by foreign law, the location where the abovementioned annual accounts are available**:

* Strike out what does not apply.

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

FINANCIAL RELATIONSHIPS OF THE GROUP THE COMPANY IS IN CHARGE OF IN BELGIUM WITH THE AUDITOR(S) AND THE PERSONS WITH WHOM HE (THEY) IS (ARE) LINKED

Codes Period
Mentions related to article 3:65, § 4 and § 5 of the Belgian Companies and Associations Code
Fees to auditors according to the mandate at the group level led by the company publishing the
information
9507 177.000
Fees for exceptional services or special missions executed by the auditor(s) at this group
Other audit assignments 95071 47.000
Tax consultancy assignments 95072
Other assignments beyond the audit 95073
Fees to people auditors are linked to according to the mandate at the group level led by the
company publishing the information
Fees for exceptional services or special assignments executed at this group by people the
auditor(s) is (are) linked to
9509
Other audit assignments 95091
Tax consultancy assignments 95092 34.318
Other assignments beyond the audit 95093

Mentions related to article 3:64, § 2 and § 4 of the Belgian Companies and Associations Code

SAMENVATTING VAN DE WAARDERINGSREGELS

I. Beginsel

De waarderingsregels worden vastgesteld overeenkomstig de bepalingen van het KB van 29 april 2019 tot uitvoering van het Wetboek van vennootschappen en verenigingen.

Ten behoeve van het getrouwe beeld wordt in de volgende uitzonderingsgevallen afgeweken van de bij dit besluit bepaalde waarderingsregels : Niet van toepassing

Deze afwijkingen worden als volgt verantwoord : Niet van toepassing

Deze afwijkingen beïnvloeden als volgt het vermogen, de financiële positie en het resultaat vóór belasting van de onderneming Niet van toepassing

De waarderingsregels werden ten opzichte van het vorige boekjaar qua verwoording of toepassing [xxxxxxxxxx] [niet gewijzigd]; zo ja, dan heeft de wijziging betrekking op :

en heeft een [positieve] [negatieve] invloed op het resultaat van het boekjaar vóór belasting ten belope van EUR.

De resultatenrekening [xxxxxx] [wordt niet] op belangrijke wijze beïnvloed door opbrengsten en kosten die aan een vorig boekjaar moeten worden toegerekend; zo ja, dan hebben deze betrekking op :

De cijfers van het boekjaar zijn niet vergelijkbaar met die van het vorige boekjaar en wel om de volgende reden :

[Voor de vergelijkbaarheid worden de cijfers van het vorige boekjaar op de volgende punten aangepast] [Voor de vergelijking van de jaarrekeningen van beide boekjaren moet met volgende elementen rekening worden gehouden]

Bij gebrek aan objectieve beoordelingscriteria is de waardering van de voorzienbare risico's, mogelijke verliezen en ontwaardingen waarvan hierna sprake, onvermijdelijk aleatoir :

Andere inlichtingen die noodzakelijk zijn opdat de jaarrekening een getrouw beeld zou geven van het vermogen, de financiële positie en het resultaat van de onderneming :

II. Bijzondere regels

De oprichtingskosten :

De oprichtingskosten worden onmiddellijk ten laste genomen, behoudens volgende kosten die worden geactiveerd :

Herstructureringskosten :

Herstructureringskosten werden [xxxxxxxxxxxx] [niet geactiveerd] in de loop van het boekjaar; zo ja, dan wordt dit als volgt verantwoord :

Immateriële vaste activa :

Het bedrag aan immateriële vaste activa omvat voor 0 EUR kosten van onderzoek en ontwikkeling. De afschrijvingstermijn voor deze kosten en voor de goodwill beloopt [xxxx] [niet meer] dan 5 jaar; indien meer dan 5 jaar wordt deze termijn als verantwoord :

Materiële vaste activa :

In de loop van het boekjaar [xxxxxxx] [werden geen] materiële vaste activa geherwaardeerd; zo ja, dan wordt deze herwaardering als volgt verantwoord :

Afschrijvingen geboekt tijdens het boekjaar :

+------------------------------------+--------------------+--------------------+---------------------------------------------------+
+
+
Activa
+
Methode
+
L (lineaire)
+
+
Basis
NG (niet-
+ Afschrijvingspercentages
+-------------------------+-------------------------+
+
+ + D (degressieve) + geherwaardeerde) + Hoofdsom + Bijkomende kosten +
+ +
A (andere)
+ G(geherwaardeerde) + Min. - Max. + Min. - Max. +
+------------------------------------+--------------------+--------------------+-------------------------+-------------------------+
+ + + + + +
+ 1. Oprichtingskosten + + + + +
+ + + + + +
+ 2. Immateriële vaste activa + L + + 20.00 - 20.00 + 20.00 - 20.00 +
+ +
L
+ + 20.00 - 20.00 + 20.00 - 20.00 +
+ + + + + +
+ 3. Industriële, administratieve of + + + + +
+
commerciële gebouwen * +
L + NG +
5.00 - 5.00
+ 5.00 - 5.00 +
+ + + + + +
+ 4. Installaties, machines en + + + + +
+
uitrustingen * +
L + NG + 10.00 - 20.00 + 10.00 - 20.00 +
+ + + + + +
+ 5. Rollend materieel * + L + + 20.00 - 20.00 + 20.00 - 20.00 +
+ + + + + +
+ 6. Kantoormateriaal en meubilair * + L + NG + 10.00 - 20.00 + 10.00 - 20.00 +
+ + + + + +

VALUATION RULES

    1. Andere matriële vaste activa * .+ + + + + +------------------------------------+--------------------+--------------------+-------------------------+-------------------------+

Overschot aan toegepaste, fiscaal aftrekbare, versnelde afschrijvingen ten opzichte van de economisch verantwoorde afschrijvingen : - bedrag voor het boekjaar : 0 EUR.

  • gecummuleerd bedrag voor de vaste activa verworven vanaf het boekjaar dat na 31 december 1983 begint : EUR.

Financiële vaste activa :

In de loop van het boekjaar [werden] [xxxxxxxxx] deelnemingen geherwaardeerd; zo ja, dan wordt deze herwaardering als volgt verantwoord : de negatieve herwaardering is een gevolg van de toepassing van de nieuwe verrekenprijs tussen Van de Velde NV en de dochtervennootschap Van de Velde Confection in Tunesië.

Voorraden :

Voorraden worden gewaardeerd tegen de aanschaffingswaarde berekend volgens de (te vermelden) methode van de gewogen gemiddelde prijzen, Fifo, Lifo, individualisering van de prijs van elk bestanddeel of tegen de lagere marktwaarde :

  1. Grond- en hulpstoffen : FIFO

  2. Goederen in bewerking - gereed product : FIFO

  3. Handelsgoederen :

Grondstoffen, goederen in bewerking, handelsgoederen en gereed product worden gewaardeerd tegen de laagste waarde van de kostprijs

of de opbrengstwaarde. De kostprijs van voorraden omvat alle inkoopkosten, conversiekosten en andere kosten die zijn gemaakt om de

voorraden naar hun huidige locatie en tot hun huidige toestand te brengen. De waarderingsmethode voor de voorraden is de methode

FIFO.

De inkoopkosten omvatten:

ðaankoopprijs; plus

ðinvoerrechten en andere belastingen (indien ze niet kunnen worden teruggevorderd); plus

ðtransport, afhandeling en overige kosten die direct kunnen worden toegeschreven aan de verwerving van de goederen; min

ðhandelskortingen, andere kortingen en overige soortgelijke posten.

De conversiekosten omvatten:

ðde kosten die direct verband houden met de productie-eenheden; plus

ðeen systematische toerekening van vaste en variabele indirecte productiekosten.

De voorziening voor economische veroudering wordt consequent berekend in de hele Groep, op basis van de ouderdom en de verwachte

toekomstige omzet van de posten.

  1. Onroerende goederen bestemd voor verkoop :

Producten :

  • De vervaardigingsprijs van de producten [omvat] [xxxxxxxxxx] de onrechtstreekse productiekosten.

  • De vervaardigingsprijs van de producten waarvan de poductie meer dan één jaar beslaat, [xxxxxx] [omvat geen] financiële kosten verbonden aan de kapitalen ontleend om de productie ervan te financieren.

Bij het einde van het boekjaar bedraagt de marktwaarde van de totale voorraden ongeveer % meer dan hun boekwaarde. (deze inlichting is slechts vereist zo het verschil belangrijk is).

Bestellingen in uitvoering :

Bestellingen in uitvoering worden geherwaardeerd [tegen vervaardigingsprijs] [tegen vervaardigingsprijs, verhoogd met een gedeelte van het resultaat naar gelang van de vordering der werken].

Schulden :

De passiva [xxxxxxxx] [bevatten geen] schulden op lange termijn, zonder rente of met een abnormale lage rente; zo ja, dan wordt op deze schulden [een] [geen] disconto toegepast dat wordt geactiveerd.

Vreemde valuta :

De omrekening in EUR van tegoeden, schulden en verbintenissen in vreemde valuta gebeurt op volgende grondslagen : omrekening aan slotkoers

Volgens de offici‰le middenkoers genoteerd op de beurs van Brussel op afsluitdatum.

De resultaten uit de omrekening van de vreemde valuta zijn als volgt in de jaarrekening verwerkt : Positieve omrekeningsverschillen worden via overlopende rekeningen verwerkt;

VALUATION RULES

negatieve worden in het resultaat opgenomen.

Leasingovereenkomsten :

Wat de niet-geactiveerde gebruiksrechten uit leasingovereenkomsten betreft (die betrekking hebben op onroerende goederen en afgesloten vóór 1 januari 1980), beliepen de vergoedingen en huurgelden die betrekking hebben op het boekjaar voor leasing van onroerende goederen : 146.439,38 EUR.

-

-

-

-

000 euro 2024 2023
Aandelen kapitaal 1,936 1,935
Eigen aandelen in de entiteit 12 909 6.596
Uitgiftepremies 743 743

-

  • -
    -
    -
    -
    -
    -
    -

Te bestemmen winst 8.023
Onttrekking aan de reserves 22.119
Uit te kenen winst m 30.143

SOCIAL BALANCE SHEET

Numbers of the joint industrial committees competent for the company:

215 109

STATEMENT OF THE PERSONS EMPLOYED

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

During the period Codes Total 1. Men 2. Women
Average number of employees
Full-time 1001 357,6 75,8 281,8
Part-time 1002 158,9 9,3 149,6
Total in full-time equivalents (FTE) 1003 472,8 82,8 390,0
Number of actual hours worked
Full-time 1011 476.181 105.815 370.366
Part-time 1012 154.270 10.728 143.542
Total 1013 630.451 116.543 513.908
Personnel costs
Full-time 1021 26.682.619 6.364.090 20.318.529
Part-time 1022 7.563.772 517.082 7.046.689
Total 1023 34.246.391 6.881.173 27.365.218
Benefits in addition to wages 1033
During the preceding period

Average number of employees in FTE

Number of actual hours worked

Personnel costs

Benefits in addition to wages 1033

Codes P. Total 1P. Men 2P. Women
1003 479,5 85,0 394,5
1013 639.703 120.403 519.300
1023 32.923.674 7.154.917 25.768.757

EMPLOYEES FOR WHOM THE COMPANY SUBMITTED A DIMONA DECLARATION OR WHO ARE RECORDED IN THE GENERAL PERSONNEL REGISTER (continuation)

Codes 1. Full-time 2. Part-time 3. Total in full-time
At the closing date of the period equivalents
Number of employees 105 362 155 473,4
By nature of the employment contract
Contract for an indefinite period 110 362 154 472,8
Contract for a definite period 111 1 0,6
Contract for the execution of a specifically assigned work 112
Replacement contract 113
According to gender and study level
Men 120 76 9 82,4
primary education 1200 31 5 34,2
secondary education 1201 15 1 15,8
higher non-university education 1202 19 2 20,7
university education 1203 11 1 11,7
Women 121 286 146 391,0
primary education 1210 46 19 59,4
secondary education 1211 80 79 134,3
higher non-university education 1212 82 31 105,4
university education 1213 78 17 91,9
By professional category
Management staff 130
Salaried employees 134 201 66 252,0
Hourly employees 132 161 88 220,8
Other 133 1 0,6

HIRED TEMPORARY STAFF AND PERSONNEL PLACED AT THE DISPOSAL OF THE COMPANY

During the period
Average number of persons employed
Number of actual hours worked
Costs to the company
Codes 1. Hired temporary
staff
2. Hired temporary
staff and personnel
placed at the
company's disposal
150 7,8
151 15.012
152 396.000

ENTRIES

Number of employees for whom the company submitted a DIMONA declaration or who have been recorded in the general personnel register during the period

By nature of the employment contract
-------------------------------------- -- --

Contract for an indefinite period

Contract for a definite period

Contract for the execution of a specifically assigned work

Replacement contract

Codes 1. Full-time 2. Part-time 3. Total in full-time
equivalents
205 40 14 49,3
210
211
40 12
2
48,1
1,2
212
213
By nature of the employment contract
Contract for an indefinite period
Contract for a definite period
Contract for the execution of a specifically assigned work
Replacement contract
By reason of termination of contract
Retirement
Unemployment with extra allowance from enterprise
Dismissal
Other reason
Of which: the number of persons who continue to render
services to the company at least half-time on
DEPARTURES 1. Full-time 2. Part-time 3. Total in full-time
equivalents
Number of employees whose contract-termination date
has been included in the DIMONA declaration or in the
general personnel register during the period
47 17 58,7
By nature of the employment contract
Contract for an indefinite period 47 15 57,5
Contract for a definite period 2 1,2
Contract for the execution of a specifically assigned work
Replacement contract
By reason of termination of contract
Retirement 3 4 5,6
Unemployment with extra allowance from enterprise
Dismissal 6 1 6,7
Other reason 38 12 46,4
Of which:
the number of persons who continue to render
services to the company at least half-time on
a self-employment basis
350

INFORMATION ON TRAINING PROVIDED TO EMPLOYEES DURING THE PERIOD

Total of initiatives of formal professional training at the expense of the
employer
Codes Men Codes Women
Number of employees involved 5801 79 5811 389
Number of actual training hours 5802 1.938 5812 15.806
Net costs for the company 5803 91.303 5813 714.352
of which gross costs directly linked to training 58031 88.029 58131 697.710
of which contributions paid and payments to collective funds 58032 9.784 58132 49.727
of which grants and other financial advantages received (to deduct) 58033 6.510 58133 33.085
Total of initiatives of less formal or informal professional training at the
expense of the employer
Number of employees involved 5821 42 5831 177
Number of actual training hours 5822 2.859 5832 11.120
Net costs for the company 5823 75.913 5833 330.131
Total of initial initiatives of professional training at the expense of the
employer
Number of employees involved 5841 2 5851
Number of actual training hours 5842 1.261 5852
Net costs for the company 5843 7.232 5853

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