Financial statements Droids On Roids

Cash flow statement of Droids On Roids

Share capital:
Share capital:
100 000 PLN
Company deleted from KRS: 2025-05-29

Cash inflows of DROIDS ON ROIDS

Year
2021
2022
2023
Net cash from operating expenses 2 392 302,87 492 606,17 2 337 559,48
Net cash flow from investing activities 3 150,00 -34 584,65 2 894,62
Net cash flow from financial activities -2 704 279,54 -1 770 843,55 -904 637,11
Total net cash flow -308 826,67 -1 312 822,03 1 435 816,99
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.