The company's profit before tax reached 64,441 thousand PLN in 2021. This was up from 26,658 thousand PLN in 2020.
Net cash flow from operating activities increased to 59,254 thousand PLN in 2021. It was 15,762 thousand PLN in 2020.
Cash and cash equivalents reached 137,102 thousand PLN by the end of 2021. This was a significant rise from 41,302 thousand PLN at the end of 2020.
Employee benefits expenses increased to 55,884 thousand PLN in 2021. This was up from 20,311 thousand PLN in 2020.
The company made significant investments in intangible assets, with expenditures reaching 23,152 thousand PLN in 2021. This was a substantial increase from 3,463 thousand PLN in 2020.
The company declared a dividend of 0.19 PLN per share for the 2020 financial year. This totaled 5,616,877.28 PLN.
Net profit from continuing operations increased to 61,326 thousand PLN in 2021. It was 24,579 thousand PLN in 2020.
AL. SOLIDARNOSCI 171 TEL +48 22 887 34 30 Grupa Kapitałowa PCF Group Spółka Akcyjna – wybrane dane w przeliczeniu na EUR PLN EUR od 01.01 do od 01.01 do od 01.01 do od 01.01 do 31.12.2021 r. 31.12.2020 r. 31.12.2021 r. 31.12.2020 r.
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