Last update: 01.07.2024 10:07 (GMT+3)

Eesti Telekom: Consolidated cash flow statement 12/98

31.03.1999, Eesti Telekom, TLN
AS  EESTI TELEKOM
CASH FLOW STATEMENT
01.01-31.12.98
IAS

EEK thous.
G R O U P ESTONIAN TELECOM

1998 1997 1998 1997
Cash flow from operating activities
Profit before tax and minority interest 746,842 576,919 319,930 226,135
Depreciation and amortisation 720,516 482,386 383 350
Profit from sales of fixed assets 3,459 -3,566 6 0
Profit from sales of investments -6,117 0 -7,198 0
Income from subsidiaries and associated companies -448 0 -332,400 -213,272
Loss from value adjustments of shares 0 182 0 182
Interest income calculated -19,619 -6,421 -24,834 -17,948
Interests received 16,607 4,445 21,816 15,842
Interest expense calculated 55,710 48,014 0 0
Interests paid -52,635 -52,013 0 0
Income tax paid -152,283 -55,594 -22,125 -4,026
Other non-cash adjustments -4,997 -3,106 -60 -4,371
Change in working capital
Change in current receivables -127,705 -23,730 -10 979
Change in inventories 293 -38,668 231 -229
Change in current liabilities (except bank loans) 155,226 55,313 5,570 1,005
Total cash flow from operating activities 1,334,849 984,161 -38,691 4,647

Cash flow from investing activities
Proceeds from sales of property, plant and equipment 4,536 20,841 0 0
Proceeds from sales of investments 23,822 0 25,610 0
Dividends received 4,291 0 147,233 49,772
Cash receipts from loan repayment 436 423 315 315
Purchase of property, plant and equipment -1,008,125 -897,453 -578 -200
Acquisition of Esmofon Ltd., net of cash acquired -18,594 0 0 0
Purchase of investment 0 -23 0 -23
Purchase of licenses -20,097 -30,556 0 0
Total cash flow from investing activities -1,013,731 -906,768 172,580 49,864

Cash flow from financing activities
Proceeds from issued debentures 0 158,373 0 0
Repayment of debentures 0 -207,358 0 0
Repayment of nonconvertable long-term debt -8,382 -48,058 0 0
Proceeds from long-term borrowings 100,000 390,000 0 0
Repayment of long-term borrowings -114,695 -150,906 0 0
Payment of finance lease liabilities -5,430 -14,762 0 0
Proceeds from short-term borrowings (net) -48,000 36,451 0 0
Proceeds from issuance of share capital 1 0 1 0
Minority contribution for shares 320 0 0 0
Dividends paid -57,326 -15,287 -57,326 -15,287
Dividends paid to minority shareholders -137,408 -46,897 0 0
Total cash flow from financing activities -270,920 101,556 -57,325 -15,287

Net increase / - decrease in cash and cash equivalents 50,198 178,949 76,564 39,224

Cash and cash equivalents at beginning of year 221,824 42,875 41,680 2,456
Cash and cash equivalents at end of year 272,022 221,824 118,244 41,680

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