Financial statements Radmot
Cash inflows of RADMOT
|
Year
|
2022
|
2023
|
|---|---|---|
| Net cash from operating expenses | 18 116 667,72 | 32 532 097,16 |
| Net cash flow from investing activities | -3 154 453,13 | -12 840 161,20 |
| Net cash flow from financial activities | -11 804 418,66 | -18 476 816,85 |
| Total net cash flow | 3 157 795,93 | 1 215 119,11 |
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.