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Hopium SA (GM)

Hopium SA (GM) (HPUMF)

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Income Statement

Balance Sheet

Cash Flow

Year End December 30 2023 20202020202120222023
EUR (€)EUR (€)EUR (€)EUR (€)EUR (€)
Total Assets 202k1.06M14.67M22M3.89M
Total Current Assets 108k525k8.6M2M1.39M
Cash and Equivalents 47k293k4.92M143k28k
Total Non-Current Assets -364k918k9.35M-10.42M-35.92M
Total Liabilities 566k144k5.32M32.43M39.81M
Total Current Liabilities 566k144k5.32M28.57M24.45M
Total Non-Current Liabilities 0007.26M30.26M
Total Equity -364k918k9.35M-10.42M-35.92M
Common Equity 10k117k127k131k268k
Retained Earnings -374k-792k-8.83M-32.71M-63.37M