Financial statements Holiday Park & Resort Spółka Z Ograniczoną Odpowiedzialnością
Cash inflows of HOLIDAY PARK & RESORT SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ
|
Year
|
2019
|
2020
|
2021
|
2022
|
2023
|
|---|---|---|---|---|---|
| Net cash from operating expenses | 42 434 549,28 | 46 812 948,31 | 50 276 690,87 | 134 576 889,22 | 67 333 365,42 |
| Net cash flow from investing activities | -32 225 375,33 | -26 338 904,17 | -69 715 238,24 | -143 358 164,89 | -50 308 642,77 |
| Net cash flow from financial activities | -9 603 605,04 | -21 318 874,94 | 25 021 236,96 | 5 575 206,21 | -17 324 831,80 |
| Total net cash flow | 605 568,91 | -844 830,80 | 5 582 689,59 | -3 206 069,46 | -300 109,15 |
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.