Report Format:
View Mode:
ADP | Caption | 2023-12 cons. a. | 2023-09 cons. | 2023-06 cons. | 2023-03 cons. | 2022-12 cons. a. | 2022-09 cons. | 2022-06 cons. | >> 2022-03 cons. |
1 | CASH FLOW FROM OPERATING ACTIVITIES | 360,514 | 275,292 | | | | | | |
2 | CASH FLOW FROM INVESTMENT ACTIVITIES | -311,255 | -252,137 | | | | | | |
21 | Cash inflows from sale of long-term tangible and intangible assets | 1,181 | 775 | | | | | | |
22 | Cash outflows for purchase of long-term tangible and intangible assets | -303,565 | -250,601 | | | | | | |
3 | CASH FLOW FROM FINANCIAL ACTIVITIES | -189,603 | -165,388 | | | | | | |