Financial statements Budokrusz

Cash flow statement of Budokrusz

Company age:
Age:
10 y. 6 m. 12 d.
Share capital:
Share capital:
42 529 500 PLN

Cash inflows of BUDOKRUSZ

Year
2018
2019
2020
2021
2022
2023
Net cash from operating expenses 48 288 378,90 50 223 539,03 43 327 613,30 21 097 897,73 29 284 466,66 41 654 689,89
Net cash flow from investing activities -34 804 647,00 -24 761 300,27 -9 862 855,61 28 839 258,21 -12 565 945,46 -42 134 236,78
Net cash flow from financial activities -9 728 637,61 -9 603 769,77 -33 863 366,69 -10 166 377,04 -24 646 325,57 5 414 751,38
Total net cash flow 3 755 094,29 15 858 468,99 -398 609,00 -3 795 646,06 -7 927 804,07 4 935 204,49
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.