Financial statements Popławska Group

Cash flow statement of Popławska Group

Company deleted from KRS: 2021-06-14

Cash inflows of POPŁAWSKA GROUP

Year
2018
2019
Net cash from operating expenses 3 036 754,81 6 229 116,28
Net cash flow from investing activities -3 402 984,99 -11 724 891,77
Net cash flow from financial activities 732 615,10 925 193,43
Total net cash flow 366 384,92 -4 570 582,06
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.