Financial statements Redkom Park Opole

Cash flow statement of Redkom Park Opole

Company age:
Age:
3 y. 6 m. 9 d.
Share capital:
Share capital:
5 000 PLN

Cash inflows of REDKOM PARK OPOLE

Year
2022
2023
Net cash from operating expenses -1 104 855,08 639 490,92
Net cash flow from investing activities -35 971 442,58 -39 165 680,93
Net cash flow from financial activities 38 471 602,58 41 315 714,95
Total net cash flow 1 395 304,92 2 789 524,94
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.