PL
VIVID GAMES HOMEPAGE

Financial results

Selected financial information (thous. PLN)
20162015
Revenues from sales and equivalent

22.753.23

17.316.15
Profit (-loss) on Sales

-540.36

2.998.05
Profit (-loss) on Operating activities

3.414.26

-1.024.42
EBITDA growth rate

7.432.18

1.359.77
Profit (-loss) before taxation

3.028.34

-1.178.52
Net profit (-loss)2.995.957.587.48
Equity

24.586.64

20.817.12
Short-term liabilities

10.453.28

13.116.26
Deferred expenses

834.17

161.18
Fixed assets

33.051.39

26.346.92
Current assets

8.385.37

13.224.74
Cash flows from operating activities

2.797.75

5.629.85
Cash flows from investment activities

-10.864.53

-9.993.33
Cash flows from financing activities

3.459.58

12.999.25
Net cash flows

-4.607.2

8.635.77