Financial statements Piomar Plus Piomar Fuksa Spółka Komandytowa

Cash flow statement of Piomar Plus Piomar Fuksa Spółka Komandytowa

Company deleted from KRS: 2024-12-31

Cash inflows of PIOMAR PLUS PIOMAR FUKSA SPÓŁKA KOMANDYTOWA

Year
2022
Net cash from operating expenses 7 163 715,41
Net cash flow from investing activities -107 520,00
Net cash flow from financial activities -5 875 856,41
Total net cash flow 1 180 339,00
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.