ADVFN Logo
Registration Strip Icon for alerts Register for real-time alerts, custom portfolio, and market movers

0Q42 4fun Media Sa

11.95
0.00 (0.00%)
Last Updated: 20:00:00
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Year End December 30 2023 20162017201820192020202120222023
PLN (PLN)PLN (PLN)PLN (PLN)PLN (PLN)PLN (PLN)PLN (PLN)PLN (PLN)PLN (PLN)
Total Assets 41.66M54.39M64.21M73.85M63.28M62.79M78.25M101.47M
Total Current Assets 14.13M22.49M25.74M15.21M15.92M20.19M35.06M53.76M
Cash and Equivalents 920k4.15M7.39M2.3M529k8.63M12.47M25.38M
Total Non-Current Assets 30.2M36.41M42.94M26.79M24.15M33.24M42.23M60.34M
Total Liabilities 11.46M17.98M21.27M47.05M39.12M29.55M36.02M41.12M
Total Current Liabilities 10.72M17.22M17.85M27.38M19.85M17.64M20.55M23.37M
Total Non-Current Liabilities 747k759k6.08M38.35M37.9M22.82M29.45M34.12M
Total Equity 30.2M36.41M42.94M26.79M24.15M33.24M42.23M60.34M
Common Equity 4.12M4.12M4.24M4.24M4.24M4.24M4.24M4.24M
Retained Earnings -1.66M3.86M6.78M1.19M3.83M-2.04M15.47M28.89M