Financial statements Strus Development

Cash flow statement of Strus Development

Company age:
Age:
4 y. 6 m. 25 d.
Share capital:
Share capital:
5 000 PLN

Cash inflows of STRUS DEVELOPMENT

Year
2021
2022
2023
Net cash from operating expenses 31 806 711,18 45 687 979,69 134 951 377,35
Net cash flow from investing activities -61 381,27 -18 110 555,43 -35 044 381,88
Net cash flow from financial activities -30 461 705,63 -34 018 525,65 -22 587 607,81
Total net cash flow 1 283 624,28 -6 441 101,39 77 319 387,66
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.