Financial statements Pako Lorente Chrapkowicz Magiera

Cash flow statement of Pako Lorente Chrapkowicz Magiera

Company deleted from KRS: 2022-04-11

Cash inflows of PAKO LORENTE CHRAPKOWICZ MAGIERA

Year
2018
2019
2020
Net cash from operating expenses 3 020 827,07 894 527,14 3 127 823,13
Net cash flow from investing activities -515 093,61 -1 274 588,68 -635 805,18
Net cash flow from financial activities -1 727 499,13 -1 071 608,07 -1 534 249,58
Total net cash flow 778 234,33 -1 451 669,61 957 768,37
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.