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0RK3 Asm Group Sa

3.68
0.00 (0.00%)
May 09 2024 - Closed
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Year End December 30 2022 20152016201720182019202020212022
PLN (PLN)PLN (PLN)PLN (PLN)PLN (PLN)PLN (PLN)PLN (PLN)PLN (PLN)PLN (PLN)
Total Assets 133.52M143.9M146.68M295.61M270.09M164.06M169.77M158.75M
Total Current Assets 61.47M71.2M74.53M150.18M135M75.81M84.96M75.22M
Cash and Equivalents 10.57M7.92M6.92M8.68M5.25M7.46M11.27M6.02M
Total Non-Current Assets 85.29M90.87M89.68M80.77M57.01M42.16M45.21M42.4M
Total Liabilities 48.23M53.03M56.99M214.84M213.09M121.9M124.55M116.36M
Total Current Liabilities 40.5M45.2M51.11M169.33M162.86M75.96M108.26M99.99M
Total Non-Current Liabilities 15.44M15.66M11.76M84.99M98.39M91.86M32.54M32.72M
Total Equity 85.29M90.87M89.68M80.77M57.01M42.16M45.21M42.4M
Common Equity 59.05M57.02M57.02M57.02M57.02M57.02M57.02M57.02M
Retained Earnings 25.94M30.25M30.41M34.25M1.49M-25.35M-8.98M-11.32M

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