Last update: 26.11.2024 22:06 (GMT+2)
TALLINNA KAUBAMAJA
CASH FLOW STATEMENT
CONSOLIDATED, AUDITED CASH FLOW STATEMENT, 2000
Consolidated/Audited
in EEK thousand
2000 1999
Group Parent Group Parent
Operating activities
Net profit 60,389 60,389 34,305 34,305
Minority interest 2,131 0 910 0
Interest expense 13,004 5,076 16,084 10,400
Interest income -1,086 -2,088 -769 -1,079
Depreciation of fixed assets 39,739 18,320 38,118 22,386
Profit/loss from sale and liquidation
of fixed assets -271 -202 1,148 449
Effect of equity method 723 -34,712 1,397 -22,530
Sale of long-term financial assets
and value adjustments -1,459 -1,459 -3,014 -3,014
Income tax paid -3,307 -2,642 -10,081 -8,196
Adjustments to changes in receivables
and inventories -67,962 -8,649 1,475 -20,207
Adjustments to changes in liabilities 21,243 -24,772 10,873 29,677
Net cash from operating activities 63,144 9,260 90,445 42,190
Investing activities
Acquisition of shares 0 0 0 -15,500
Sale of short-term financial assets 2,536 2,536 0 0
Loans to associated companies -835 -835 0 0
Other loans granted -17,090 -17,090 -3,993 -3,993
Purchase and renovation of tangible t
fixed assets (except finance lease) -90,739 -15,825 -14,903 -2,248
Interest income 923 1,925 778 1,070
Proceeds from sale of fixed assets 1,032 310 806 258
Net cash used in investing activities -104,173 -28,979 -17,312 -20,412
Financing activities
Proceeds from borrowings 167,230 119,500 28,000 28,000
Repayment of borrowings -99,120 -75,132 -64,677 -39,343
Finance lease payments -4,584 -389 -6,400 -541
Dividends paid -6,788 -6,788 -10,182 -10,182
Interest paid -13,318 -5,471 -15,300 -10,301
Net cash used in financing activities 43,420 31,720 -68,559 -32,357
Total cash flow 2,391 12,001 4,573 -10,589
Cash and cash equivalents
at the beginning of period 27,310 7,250 22,737 17,839
Cash and cash equivalents
at the end of period 29,701 19,251 27,310 7,250
Change in cash and cash equivalents 2,391 12,001 4,573 -10,589
Urmo Vallner
Management Board member
+372 64 00 200