Dec 22 | Sep 22 | Jun 22 | Mar 22 | Dec 21 | |
---|---|---|---|---|---|
Income Statement | - | ||||
Total Revenue | zł 929.00M | zł 847.10M | zł 795.70M | zł 844.00M | zł 1.01B |
Gross Profit | zł 222.70M | zł 181.60M | zł 153.60M | zł 186.20M | zł 236.40M |
EBIT | zł 14.50M | zł 19.10M | zł 27.50M | zł 16.00M | zł 37.80M |
EBITDA | zł 31.70M | zł 36.80M | zł 45.00M | zł 33.20M | zł 56.10M |
Net Income Common Stockholders | zł 3.80M | zł -7.80M | zł -7.20M | zł 3.10M | zł 33.10M |
Balance Sheet | - | ||||
Cash, Cash Equivalents and Short-Term Investments | zł 166.40M | zł 132.20M | zł 88.60M | zł 62.70M | zł 59.90M |
Total Assets | zł 2.20B | zł 2.44B | zł 2.41B | zł 2.44B | zł 2.59B |
Total Debt | zł 239.60M | zł 314.20M | zł 302.80M | zł 415.10M | zł 363.30M |
Net Debt | zł 73.20M | zł 182.00M | zł 214.20M | zł 352.40M | zł 303.40M |
Total Liabilities | zł 1.09B | zł 1.31B | zł 1.27B | zł 1.31B | zł 1.44B |
Stockholders Equity | zł 1.11B | zł 1.13B | zł 1.14B | zł 1.13B | zł 1.14B |
Cash Flow | - | ||||
Free Cash Flow | zł 111.60M | zł 63.80M | zł 158.30M | zł -39.20M | zł -29.30M |
Operating Cash Flow | zł 124.20M | zł 91.30M | zł 177.10M | zł -13.70M | zł 18.00M |
Investing Cash Flow | zł -1.90M | zł -27.60M | zł -18.70M | zł -25.10M | zł -40.70M |
Financing Cash Flow | zł -81.40M | zł -25.80M | zł -135.00M | zł 41.30M | zł 9.80M |