Andmed seisuga: 23.11.2024 21:34 (GMT+2)
EESTI NÄITUSTE AS
BALANCE SHEET
30.06.1999
Unaudited
Thousand EEK
30.06.99 30.06.98 change (%) 31.12.98
ASSETS
CURRENT ASSETS
1. Cash and bank 188 1,823 -90 800
2. Accounts receivable 5,774 6,928 -17 4,858
3. Other receivables 878 2,251 -61 229
4. Prepaid expenses 1,804 3,779 -52 500
4.1.Prepaid/refundable tax receivables 1,764 2,694 -35 497
4.2.Other prepaid expenses 40 1,085 -96 3
5. Total inventories 3,205 8,471 -62 6,259
5.1.Raw materials 2,944 4,751 -38 2,925
5.2.Supplier prepayments 261 3,720 -93 3,334
TOTAL CURRENT ASSETS 11,849 23,252 -49 12,646
NON-CURRENT ASSETS
6. Total long-term financial investments 204 204
7. Total tangible assets 77,705 79,003 -2 79,196
7.1.Land and buildings 81,645 76,002 7 81,645
7.2.Plant and equipment 3,572 3,666 -3 3,521
7.3.Other inventory and fixtures 1,887 2,189 -14 2,226
7.4.Accumulated depreciation -9,794 -7,472 31 -8,581
7.5.Unfinished building 395 4,618 -91 385
8. Total intangible assets 1,264 1,444 1,354
8.1.Purchased trademarks 1,800 1,800 1,800
8.2.Amortization of intangible assets -536 -356 -446
TOTAL NON-CURRENT ASSETS 79,173 80,447 -2 80,754
TOTAL ASSETS 91,022 103,699 -12 93,400
LIABILITIES AND OWNERS EQUITY
LIABILITIES
CURRENT LIABILITIES
30.06.99 30.06.98 change (%) 31.12.98
9. Total borrowings 3,453 7,607 -55 7,714
9.1.Current period long-term debt repayment 1,607 1,607 0 3,214
9.2.Short-term bank loans 1,846 6,000 -69 4,500
10. Customer prepayments 1,749 -100 180
11. Supplier payables 2,550 4,688 -46 3,710
12. Tax liabilities 330 2,119 -84 537
13. Accrued expenses 852 1,092 -22 622
13.1Salary-related payables 697 983 -29 226
13.2Interest expenses 52 79 -34 87
13.3Other accrued expenses 103 30 243 309
TOTAL CURRENT LIABILITIES 7,185 17,255 -58 12,763
NON-CURRENT LIABILITIES
14. Total long-term borrowings 20,048 24,738 -19 20,048
14.1.Bank loans 11,250 14,465 -22 11,250
14.2.Other loans from credit institutions 8,798 10,273 -14 8,798
Total non-current liabilities 20,048 24,738 -19 20,048
TOTAL LIABILITIES 27,233 41,993 -35 32,811
OWNERS EQUITY
15. SHARE CAPITAL IN NOMINAL VALUE 32,000 16,000 100 32,000
16. RESERVE FUND 1,464 987 48 988
17. RETAINED EARNINGS 18,324 14,061 30 14,061
18. NET PROFIT FOR THE YEAR 8,001 10,658 -25 9,540
19. CAPITAL SURPLUS 4,000 20,000 -80 4,000
TOTAL OWNERS EQUITY 63,789 61,706 3 60,589
TOTAL LIABILITIES AND OWNERS EQUITY 91,022 103,699 -12 93,400