Financial statements Waab Wytwórnia Betonu
Cash inflows of WAAB WYTWÓRNIA BETONU
Year
|
2018
|
2019
|
2020
|
2021
|
2022
|
2023
|
---|---|---|---|---|---|---|
Net cash from operating expenses | 2 872 824,58 | 2 911 218,27 | - | 3 693 421,67 | 0,00 | 4 630 485,43 |
Net cash flow from investing activities | -411 224,38 | -1 202 921,90 | - | -446 785,39 | 0,00 | -829 730,59 |
Net cash flow from financial activities | -2 045 721,33 | -1 917 715,16 | - | -3 405 512,80 | 0,00 | -1 867 850,73 |
Total net cash flow | 415 878,87 | -209 418,79 | - | -158 876,52 | 0,00 | 1 932 904,11 |
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.