Financial statements Zakłady Mechaniczne Wiromet
Cash inflows of ZAKŁADY MECHANICZNE WIROMET
| 
                            Year
                             | 
                                                    
                                 
                                    2018
                                                                     
                             | 
                                                    
                                 
                                    2020
                                                                     
                             | 
                                                    
                                 
                                    2021
                                                                     
                             | 
                                                    
                                 
                                    2022
                                                                     
                             | 
                                                    
                                 
                                    2023
                                                                     
                             | 
                                            
|---|---|---|---|---|---|
| Net cash from operating expenses | 3 327 363,64 | 2 090 317,90 | 4 296 248,29 | 2 833 856,57 | 6 233 287,69 | 
| Net cash flow from investing activities | -165 576,78 | -1 580 924,93 | -6 694 776,44 | -1 830 916,24 | -4 158 763,43 | 
| Net cash flow from financial activities | -3 007 053,86 | -486 983,23 | 2 887 454,54 | 351 549,18 | -3 971 598,75 | 
| Total net cash flow | 154 733,00 | 22 409,74 | 488 926,39 | 1 354 489,51 | -1 897 074,49 | 
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.