OPONEO.PL/ PLOPNPL00013 /
2024-06-24 5:09:42 PM | Chg. - | Volume | Bid- | Ask- | Market Capitalization | Dividend Y. | P/E Ratio |
---|---|---|---|---|---|---|---|
80.00PLN | - | 37,000 Turnover: 2.96 mill. |
-Bid Size: - | -Ask Size: - | 1.06 bill.PLN | 2.64% | 19.39 |
Assets
|
2021 IFRS in th. PLN |
2022 IFRS in th. PLN |
2023 IFRS in th. PLN |
||||
---|---|---|---|---|---|---|---|
Property and Equipment | 77,836 | 167,257 | 171,744 | ||||
Intangible Assets | 45,429 | 45,715 | 45,241 | ||||
Long-Term Investments | - | - | 8 | ||||
Fixed Assets | 168,594 | 257,710 | 262,306 | ||||
Inventories | 158,873 | 242,037 | 260,479 | ||||
Accounts Receivable | 78,207 | 60,964 | 69,446 | ||||
Cash and Cash Equivalents | 210,429 | 125,916 | 85,434 | ||||
Current Assets | 450,114 | 429,789 | 416,758 | ||||
Total Assets | 618,708 | 687,499 | 679,064 |
Liabilities
|
2021 IFRS in th. PLN |
2022 IFRS in th. PLN |
2023 IFRS in th. PLN |
||||
---|---|---|---|---|---|---|---|
Accounts Payable | 214,733 | 201,723 | 227,988 | ||||
Long-term debt | - | - | - | ||||
Liabilities to Banks | - | - | - | ||||
Provisions | - | - | 4,149 | ||||
Liabilities | 268,212 | 323,238 | 391,025 | ||||
Share Capital | - | - | - | ||||
Total Equity | 347,839 | 323,362 | 247,106 | ||||
Minority Interests | 2,657 | 40,899 | 40,933 | ||||
Total liabilities equity | 618,708 | 687,499 | 679,064 |
Income Statement
|
2021 IFRS in th. PLN |
2022 IFRS in th. PLN |
2023 IFRS in th. PLN |
||||
---|---|---|---|---|---|---|---|
Revenues | 1.51 mill. | 1.7 mill. | 1.87 mill. | ||||
Depreciation (total) | - | - | - | ||||
Operating Result | 79,473 | 63,265 | 63,883 | ||||
Interest Income | -718 | -10,367 | 5,487 | ||||
Income Before Taxes | - | - | - | ||||
Income Taxes | 15,660 | 10,396 | 14,366 | ||||
Minority Interests Profit | 2,657 | 1,601 | 34 | ||||
Net Income | 60,169 | 40,680 | 54,460 |
Per Share
Cash Flow
|
2021 IFRS in th. PLN |
2022 IFRS in th. PLN |
2023 IFRS in th. PLN |
||||
---|---|---|---|---|---|---|---|
Cash Flow from Operating Activities | 96,404 | -19,368 | 78,816 | ||||
Cash Flow from Investing Activities | -22,205 | -28,875 | -6,388 | ||||
Cash Flow from Financing | 80,894 | -36,270 | -112,910 | ||||
Decrease / Increase in Cash | - | - | - | ||||
Employees | 113 | 119 | - |