MONP : Financial reports

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ADPCaption2024-03
cons.
2023-12
cons.
2023-09
cons.
2023-06
cons.
2023-03
cons.
2022-12
cons.
2022-09
cons.
>>
2022-06
cons.
 Cash flow from operating activities         
11 Pre-tax profit -       
22 Adjustments (ADP 003 to 010): 0       
3a) Depreciation -       
4b) Gains and losses from sale and value adjustment of fixed tangible and intangible assets -       
5c) Gains and losses from sale and unrealised gains and losses and value adjustment of financial assets -       
6d) Interest and dividend income -       
7e) Interest expenses -       
8f) Provisions -       
9g) Exchange rate differences (unrealised) -       
10h) Other adjustments for non-cash transactions and unrealised gains and losses -       
11I Cash flow increase or decrease before changes in working capital (ADP 001+002) 0       
123 Changes in the working capital (ADP 013 to 016) 0       
13a) Increase or decrease in short-term liabilities -       
14b) Increase or decrease in short-term receivables -       
15c) Increase or decrease in inventories -       
16d) Other increase or decrease in working capital -       
17II Cash from operations (ADP 011+012) 0       
184 Interest paid -       
195 Income tax paid -       
20A) NET CASH FLOW FROM OPERATING ACTIVITIES (ADP 017 to 019) 07,932,772
 Cash flow from investment activities         
211 Cash receipts from sales of fixed tangible and intangible assets --
222 Cash receipts from sales of financial instruments --
233 Interest received -31,096
244 Dividends received -513,075
255 Cash receipts from repayment of loans and deposits -8,150,229
266 Other cash receipts from investment activities --
27III Total cash receipts from investment activities (ADP 021 to 026) 08,694,400
281 Cash payments for the purchase of fixed tangible and intangible assets --13,639,167
292 Cash payments for the acquisition of financial instruments --
303 Cash payments for loans and deposits for the period --10,898,143
314 Acquisition of a subsidiary, net of cash acquired --
325 Other cash payments from investment activities --
33IV Total cash payments from investment activities (ADP 028 to 032) 0-24,537,310
34B) NET CASH FLOW FROM INVESTMENT ACTIVITIES (ADP 027 +033) 0-15,842,910
 Cash flow from financing activities         
351 Cash receipts from the increase in initial (subscribed) capital --
362 Cash receipts from the issue of equity financial instruments and debt financial instruments --
373 Cash receipts from credit principals, loans and other borrowings -10,000,000
384 Other cash receipts from financing activities --
39V Total cash receipts from financing activities (ADP 035 to 038) 010,000,000
401 Cash payments for the repayment of credit principals, loans and other borrowings and debt financial instruments --1,380,329
412 Cash payments for dividends --1,913,370
423 Cash payments for finance lease --
434 Cash payments for the redemption of treasury shares and decrease in initial (subscribed) capital --39,763
445 Other cash payments from financing activities -0
45VI Total cash payments from financing activities (ADP 040 to 044) 0-3,333,462
46C) NET CASH FLOW FROM FINANCING ACTIVITIES (ADP 039 +045) 06,666,538
471 Unrealised exchange rate differences in respect of cash and cash equivalents 00
48D) NET INCREASE OR DECREASE IN CASH FLOWS (ADP 020+034+046+047) 0-1,243,600
49E) CASH AND CASH EQUIVALENTS AT THE BEGINNING OF THE PERIOD -1,969,733
50F) CASH AND CASH EQUIVALENTS AT THE END OF THE PERIOD(ADP 048+049) 0726,133

The data in the financial report are in euros.
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