Financial statements Raw-Pol Stefański

Cash flow statement of Raw-Pol Stefański

Company deleted from KRS: 2025-02-24

Cash inflows of RAW-POL STEFAŃSKI

Year
2019
2020
2021
2022
Net cash from operating expenses 22 562 654,43 70 182 601,92 41 671 204,43 2 061 990,53
Net cash flow from investing activities -6 311 408,44 -4 671 458,84 -3 013 511,70 -384 387,94
Net cash flow from financial activities -48 813 712,79 -59 356 562,19 -44 661 779,88 -2 751 222,71
Total net cash flow -32 562 466,80 6 154 580,89 -6 004 087,15 -1 073 620,12
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.