Financial statements Karat Recykling

Cash flow statement of Karat Recykling

Share capital:
Share capital:
296 000 PLN
Company deleted from KRS: 2025-03-26

Cash inflows of KARAT RECYKLING

Year
2018
2019
2020
2021
2023
Net cash from operating expenses 120 190,92 677 570,76 -91 454,96 1 777 970,68 1 049 304,01
Net cash flow from investing activities -340 619,74 -1 802 561,94 -566 952,26 -549 071,68 0,00
Net cash flow from financial activities 282 300,19 1 477 993,25 481 727,32 -1 017 550,55 -676 237,62
Total net cash flow 61 871,37 353 002,07 -176 679,90 211 348,45 373 066,39
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.