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Cofle Spa

Cofle Spa (CFL)

4.32
0.04
(0.93%)
Closed January 11 11:30AM

Income Statement

Balance Sheet

Cash Flow

Year End December 30 2023 2020202120222023
EUR (€)EUR (€)EUR (€)EUR (€)
Total Assets 33.66M50.19M52M66.82M
Total Current Assets 26.73M41.11M33.26M50.02M
Cash and Equivalents 3.15M15.49M19.27M18.18M
Total Non-Current Assets 10.16M26.14M29.15M29.18M
Total Liabilities 23.5M24.05M22.85M37.64M
Total Current Liabilities 21.86M23.25M11.09M36.11M
Total Non-Current Liabilities 1.64M793k21.14M1.53M
Total Equity 10.16M26.14M29.15M29.18M
Common Equity 500k615k616k616k
Retained Earnings 7.51M13.09M5.62M19.44M

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