Last update: 26.11.2024 00:12 (GMT+2)
NORMA
CASH FLOW STATEMENT
CONSOLIDATED CASH FLOWS 06/00
Thousands kroons
Operating activities 30.06.00 30.06.99
Operating profit 83 259 85 660
Profit from sale of property, plant and -222 -10
equipment
Deprecation 16 584 17 109
Property, plant and equipment write-off 44 69
Increase (-), decrease (+) in current 6 193 3 936
assets
Increase (+), decrease (-) in current 853 -9 793
liabilities
Interest received and other financial 2 509 2 114
income
Taxes paid -8 959 -8 402
Interest and other financial expenses -1 725 -3 197
paid
98 536 87 486
Investing activities
Property, plant and equipment sold 3 701 948
Property, plant and equipment acquired -12 818 -6 238
Loans issued -79 -67
Loans repaid 648 999
-8 548 -4 358
Financing activities
Loans repaid -13 336 -13 588
Dividends paid -39 600 -39 600
-52 936 -53 188
Net cash flow 37 052 29 940
Movement in cash and cash equivalents
Cash and cash equivalents at the 149 335 67 041
beginning of the year:
Net cash flow 37 052 29 940
Foreign exchange gain 395 5 633
Cash and cash equivalents at the end of 186 782 102 614
year:
incl.cash and bank accounts 101 130 102 436
marketable securities 85 652 178
Peep Siimon
Chairman of the Board
6500-442