Financial statements Pietrak Hotel

Cash flow statement of Pietrak Hotel

Company age:
Age:
23 y. 7 m.

Cash inflows of PIETRAK HOTEL

Year
2018
2019
2020
2021
2022
2023
Net cash from operating expenses 2 377 547,43 196 358,56 1 409 671,82 419 602,56 - -
Net cash flow from investing activities 0,00 0,00 0,00 -43 807,00 - -
Net cash flow from financial activities -2 311 009,91 -227 715,95 798 731,23 -2 207 374,10 - -
Total net cash flow 66 537,52 -31 357,39 2 208 403,05 -1 831 578,54 - -
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.