Petrokemija d.d. (PTKM)Security was delisted from the stock exchange
(0)
1.73
+0.02
+1.17%
ZSE
9. March 2022.
End of day
EUR
Petrokemija d.d.
Cash from Financing Activities (TTM):
16.68M
for 31. December 2021.
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PTKM Cash from Financing Activities (TTM) Chart
1M
3M
6M
YTD
1Y
2Y
5Y
MAX
PTKM Historical Levels for Cash from Financing Activities (TTM)
31.12.2021.16.68M
30.09.2021.-27.49M
30.06.2021.-27.51M
31.03.2021.-55.00M
31.12.2020.-58.94M
30.09.2020.10.41
30.06.2020.20.00
31.03.2020.13.20
31.12.2019.59.04
30.09.2019.24.36
30.06.2019.36.21
31.03.2019.47.27
31.12.2018.48.48
30.09.2018.8.79
30.06.2018.31.95
31.03.2018.43.63
31.12.2017.92.36
30.09.2017.60.09
30.06.2017.61.74
31.03.2017.23.40
31.12.2016.17.18
30.09.2016.99.09
30.06.2016.38.72
31.03.2016.43.16
31.12.2015.13.22
30.09.2015.0.29
30.06.2015.58.26
31.03.2015.76.81
31.12.2014.30.80
30.09.2014.85.57
30.06.2014.57.70
31.03.2014.57.88
31.12.2013.98.71