2024-05-21  7:31:38 PM Chg. +0.020 Volume Bid7:31:42 PM Ask7:31:42 PM Market Capitalization Dividend Y. P/E Ratio
3.160EUR +0.64% 0
Turnover: 0.000
-Bid Size: - -Ask Size: - 309.27 mill.EUR - -

Assets

2020
IFRS
in th. PLN
2021
IFRS
in th. PLN
2022
IFRS
in th. PLN
2023
IFRS
in th. PLN
Property and Equipment
  84,651   84,082   91,670   92,327
Intangible Assets
  110,902   112,861   132,983   131,833
Long-Term Investments
  -   -   9.01 mill.   9.48 mill.
Fixed Assets
  -   -   -   -
Inventories
  -   -   -   -
Accounts Receivable
  11.54 mill.   11.5 mill.   -   -
Cash and Cash Equivalents
  266,552   361,581   575,875   584,089
Current Assets
  -   -   -   -
Total Assets
  20.51 mill.   20.59 mill.   22.01 mill.   22.03 mill.

 

Liabilities

2020
IFRS
in th. PLN
2021
IFRS
in th. PLN
2022
IFRS
in th. PLN
2023
IFRS
in th. PLN
Accounts Payable
  16.56 mill.   17.01 mill.   -   -
Long-term debt
  -   -   -   -
Liabilities to Banks
  -   -   -   -
Provisions
  -   -   -   -
Liabilities
  18.59 mill.   18.72 mill.   20.04 mill.   19.88 mill.
Share Capital
  -   -   -   -
Total Equity
  1.91 mill.   1.87 mill.   1.96 mill.   2.15 mill.
Minority Interests
  -   -   -   -
Total liabilities equity
  20.51 mill.   20.59 mill.   22.01 mill.   22.03 mill.

 

Income Statement

2020
IFRS
in th. PLN
2021
IFRS
in th. PLN
2022
IFRS
in th. PLN
2023
IFRS
in th. PLN
Revenues
  -   -   -   -
Depreciation (total)
  -   -   -   -
Operating Result
  -   -   -   -
Interest Income
  223,378   319,940   758,340   810,981
Income Before Taxes
  -   -   -   -
Income Taxes
  21,181   31,813   65,891   78,658
Minority Interests Profit
  -   -   -   -
Net Income
  -306,934   47,456   128,244   78,374

 

Per Share

2020
IFRS
in PLN
2021
IFRS
in PLN
2022
IFRS
in PLN
2023
IFRS
in PLN
Earnings per Share
  -3.3000   0.5100   1.3800   0.8400
Dividend per Share
  -   -   -   -

 

Cash Flow

2020
IFRS
in th. PLN
2021
IFRS
in th. PLN
2022
IFRS
in th. PLN
2023
IFRS
in th. PLN
Cash Flow from Operating Activities
  967,028   1.2 mill.   2 mill.   -944,871
Cash Flow from Investing Activities
  -141,272   -39,778   -281,603   -328,900
Cash Flow from Financing
  -33,839   -32,032   -68,597   43,032
Decrease / Increase in Cash
  -   -   -   -
Employees
  279   279   -   -