Financial statements Tadar Spółka Z Ograniczoną Odpowiedzialnością
Cash inflows of TADAR SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ
|
Year
|
2018
|
2019
|
2020
|
2021
|
2022
|
2023
|
|---|---|---|---|---|---|---|
| Net cash from operating expenses | 4 930 785,78 | 3 324 762,61 | 9 733 695,51 | 3 348 149,84 | 1 750 256,43 | 10 029 474,51 |
| Net cash flow from investing activities | -149 844,76 | -613 640,14 | -1 014 923,97 | -174 887,16 | 16 260,16 | -1 226 169,23 |
| Net cash flow from financial activities | -4 806 550,45 | -2 694 380,45 | -8 260 901,60 | -785 707,52 | -3 895 670,83 | -8 538 981,54 |
| Total net cash flow | -25 609,43 | 16 742,02 | 457 869,94 | 2 387 555,16 | -2 129 154,24 | 264 323,74 |
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.