| Dec 25 | Dec 24 | Dec 23 | Dec 22 | Dec 21 | |
|---|---|---|---|---|---|
| Income Statement | |||||
| Total Revenue | zł 245.63M | zł 224.19M | zł 203.72M | zł 200.94M | zł 209.85M |
| Gross Profit | zł 54.01M | zł 48.59M | zł 49.93M | zł 45.58M | zł 54.54M |
| Operating Income | zł 20.26M | zł 19.61M | zł 22.82M | zł 15.31M | zł 31.96M |
| EBITDA | zł 77.85M | zł 74.41M | zł 70.87M | zł 71.06M | zł 76.77M |
| Net Income | zł 13.34M | zł 16.29M | zł 20.45M | zł 14.46M | zł 24.98M |
| Balance Sheet | |||||
| Cash & Short-Term Investments | zł 10.88M | zł 7.21M | zł 42.13M | zł 35.20M | zł 49.68M |
| Total Assets | zł 433.81M | zł 413.88M | zł 395.81M | zł 396.39M | zł 400.86M |
| Total Debt | zł 21.67M | zł 25.35M | zł 8.54M | zł 9.79M | zł 12.04M |
| Net Debt | zł 10.79M | zł 18.15M | zł -32.90M | zł -25.41M | zł -37.64M |
| Total Liabilities | zł 89.70M | zł 76.60M | zł 60.08M | zł 53.19M | zł 65.43M |
| Stockholders' Equity | zł 344.11M | zł 337.28M | zł 335.73M | zł 343.20M | zł 335.43M |
| Cash Flow | |||||
| Free Cash Flow | zł 7.65M | zł -47.49M | zł 19.97M | zł -7.52M | zł 26.47M |
| Operating Cash Flow | zł 9.60M | zł -16.92M | zł 23.67M | zł -4.64M | zł 29.14M |
| Investing Cash Flow | zł -1.46M | zł -17.29M | zł 10.39M | zł -3.50M | zł 7.19M |
| Financing Cash Flow | zł -5.08M | zł 1.05M | zł -25.56M | zł -4.77M | zł -44.39M |
ULMA Construccion Polska S.A. Forecast EPS vs Actual EPS
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