Financial statements Gamedesire Group

Cash flow statement of Gamedesire Group

Company age:
Age:
4 y. 7 m. 15 d.
Share capital:
Share capital:
245 900 PLN

Cash inflows of GAMEDESIRE GROUP

Year
2021
2022
2023
Net cash from operating expenses -281,00 -283 431,11 2 084 757,01
Net cash flow from investing activities 203,00 -3 629 603,59 -2 252 522,88
Net cash flow from financial activities 0,00 2 977 662,15 1 660 003,97
Total net cash flow -78,00 -935 372,55 1 492 238,10
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.