Medora hoteli i ljetovališta d.d. (HPDG)
(0)
2.98
+0.48
+19.20%
ZSE
25. June 2025.
End of day
EUR
Medora hoteli i ljetovališta d.d.
Cash from Financing Activities (TTM):
-2.82M
for 31. March 2025.
Search financial indicators
HPDG Cash from Financing Activities (TTM) Chart
1M
3M
6M
YTD
1Y
2Y
5Y
MAX
HPDG Historical Levels for Cash from Financing Activities (TTM)
31.03.2025.-2.82M
31.12.2024.-2.81M
30.09.2024.-2.45M
30.06.2024.-2.12M
31.03.2024.-2.38M
31.12.2023.70.71
30.09.2023.99.96
30.06.2023.88.06
31.03.2023.7.12
31.12.2022.46.80
30.09.2022.51.97
30.06.2022.34.52
31.03.2022.23.24
31.12.2021.93.31
30.09.2021.16.76
30.06.2021.44.53
31.03.2021.6.75
31.12.2020.3.99
30.09.2020.27.83
30.06.2020.15.87
31.03.2020.59.08
31.12.2019.11.58
30.09.2019.84.96
30.06.2019.23.85
31.03.2019.0.62
31.12.2018.72.41
30.09.2018.19.43
30.06.2018.20.17
31.03.2018.60.72
31.12.2017.81.87
30.09.2017.38.61
30.06.2017.51.36
31.03.2017.17.83
31.12.2016.93.32
30.09.2016.66.80
30.06.2016.59.21
31.03.2016.43.54
31.12.2015.57.90
30.09.2015.69.23
30.06.2015.98.69