Financial statements Hartbex Przedsiębiorstwo Budowlane
Cash inflows of HARTBEX PRZEDSIĘBIORSTWO BUDOWLANE
Year
|
2018
|
2019
|
2020
|
2021
|
2022
|
---|---|---|---|---|---|
Net cash from operating expenses | 3 371 397,31 | 14 411 954,22 | 9 057 392,22 | 10 519 663,81 | 2 449 602,18 |
Net cash flow from investing activities | -1 625 867,62 | 848 455,54 | -49 251,17 | 5 232 553,26 | 169 431,70 |
Net cash flow from financial activities | -1 396 890,35 | -14 009 666,51 | -10 651 836,61 | -16 450 654,67 | -1 850 478,29 |
Total net cash flow | 348 639,34 | 1 250 743,25 | -1 643 695,56 | -698 437,60 | 768 555,59 |
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.