Financial statements Partex Marking Systems

Cash flow statement of Partex Marking Systems

Company age:
Age:
23 y. 10 m. 28 d.
Share capital:
Share capital:
125 000 PLN

Cash inflows of PARTEX MARKING SYSTEMS

Year
2018
2019
2020
2021
2022
2023
2024
Net cash from operating expenses 4 103 090,57 6 546 205,56 7 133 651,43 4 040 480,73 7 901 229,13 7 311 882,68 9 685 263,91
Net cash flow from investing activities -131 876,85 -2 637 864,90 -23 691,82 -296 852,59 -399 064,04 -969 088,89 -311 589,07
Net cash flow from financial activities -3 648 650,21 -2 854 584,07 -3 672 512,43 -6 664 769,95 -6 842 148,64 -6 164 609,07 -5 991 123,86
Total net cash flow 322 563,51 1 053 756,59 3 437 447,18 -2 921 141,81 660 016,45 178 184,72 3 382 550,98
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.