Financial statements Terplast Zakłady Przetwórstwa Tworzyw Sztucznych
Cash inflows of TERPLAST ZAKŁADY PRZETWÓRSTWA TWORZYW SZTUCZNYCH
|
Year
|
2018
|
2019
|
2020
|
2021
|
2022
|
2023
|
|---|---|---|---|---|---|---|
| Net cash from operating expenses | -1 256 102,81 | -229 490,09 | 1 412 841,56 | -956 043,66 | -242 467,02 | 20 996,02 |
| Net cash flow from investing activities | -752 099,77 | 97 452,13 | 327 904,91 | 381 556,96 | 430 832,19 | 812 195,12 |
| Net cash flow from financial activities | 1 229 631,07 | 141 885,96 | -1 000 469,61 | 62 064,93 | -480 903,51 | -866 485,64 |
| Total net cash flow | -778 571,51 | 9 848,00 | 740 276,86 | -512 421,77 | -292 538,34 | -33 294,50 |
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.