Financial statements Komandor-Śląsk

Cash flow statement of Komandor-Śląsk

Share capital:
Share capital:
200 000 PLN
Company deleted from KRS: 2024-12-06

Cash inflows of KOMANDOR-ŚLĄSK

Year
2018
2019
2020
2021
2022
2023
Net cash from operating expenses 1 148 842,97 1 637 048,30 1 949 503,51 813 433,06 1 614 170,02 317 599,92
Net cash flow from investing activities -115 726,82 -205 091,00 -435 403,47 -271 679,75 -701 205,10 -371 785,02
Net cash flow from financial activities -974 277,42 -993 753,07 66 154,14 -1 523 109,08 -1 458 320,73 -859 359,87
Total net cash flow 58 838,73 438 204,23 1 580 254,18 -981 355,77 -545 355,81 -913 544,97
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.