Codere Online Luxembourg, S.a.
CDRO
Revenue
115.75M
▲35.49M▲44.23%
12 Months ChangeAssets
71.78M
▼-2.38M▼-3.20%
6 Months ChangeLiabilities
0.00
0.000.00%
-Free Cash Flow
0.00
0.000.00%
-Revenue/Cost Of Revenue
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Net Profit/Loss
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Assets/Liabilities
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Cash Flows
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