OPTE : Financial reports

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ADPCaption2021-12
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2021-09
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2021-06
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2021-03
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2020-12
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2020-12
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2020-09
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>>
2020-06
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1CASH FLOW FROM OPERATING ACTIVITIES 16,95611,201
2CASH FLOW FROM INVESTMENT ACTIVITIES -5,799-3,617
21Cash inflows from sale of long-term tangible and intangible assets 83-
22Cash outflows for purchase of long-term tangible and intangible assets -5,884-3,619
3CASH FLOW FROM FINANCIAL ACTIVITIES -11,126-8,317

The data in the financial report are in thousands of euros.
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