Andmed seisuga: 03.07.2024 08:24 (GMT+3)

Eesti Telekom: Cash flow statement of Eesti Telefon 06/99

19.08.1999, Eesti Telekom, TLN
ESTONIAN TELEPHONE COMPANY
CASH FLOW STATEMENT
01.01-30.06.99

consolidated, IAS
unaudited
EEK thous.
Group AS Eesti Telefon

6 M 99 6 M 98 6 M 99 6 M 98
Cash flow from operating activities
Profit before tax and minority interest 147,167 173,295 145,993 171,800
Depreciation 322,830 218,032 321,574 217,016
Profit from sales of fixed assets -134 -335 -134 -335
Loss from sales and write-off of fixed assets 713 761 713 761
Dividends calculated -75 -75
Income from subsidiaries and associated companies -437 -1,445 -1,239
Interest income calculated -1,018 -1,627 -1,018 -1,627
Interests received 1,209 1,627 1,209 1,627
Interest expense calculated 28,651 30,339 28,614 30,011
Interests paid -36,254 -37,946 -36,200 -37,614
Income tax paid -18,690 -39,098 -17,568 -39,098
Other non-cash adjustments 3,615 119 3,158 119

Change in working capital
Change in current receivables -106,331 -30,287 -105,091 -30,860
Change in inventories -21,561 -14,476 -21,561 -14,632
Change in current liabilities (except bank loans) 63,783 -3,450 65,828 -2,588
Net cash flow from operating activities 383,543 296,879 384,072 293,266

Cash flow from investing activities
Proceeds from sales of property, plant and equipment 593 658 593 658
Dividends received 75 75
Receipts from long-term claims 77 54 77 54
Purchase of property, plant and equipment -287,107 -242,014 -286,196 -241,813
Purchase of licenses -9,514 -2,538 -9,514 -2,538
Net cash flow from investing activities -295,951 -243,765 -295,040 -243,564

Cash flow from financing activities
Repayment of nonconvertable long-term debt -4,357 -4,108 -4,357 -4,108
Proceeds from long-term borrowings 100,000 100,000
Overtaken loan from Estpak Data 4,500
Repayment of long-term borrowings -46,745 -20,292 -45,245 -18,792
Payment of finance lease liabilities -70 -33 -70 -33
Dividends paid -50,000 -108,425 -50,000 -108,425
Net cash flow from financing activities -101,172 -32,858 -99,672 -26,858

Net increase / - decrease in cash and
cash equivalents -13,580 20,256 -10,640 22,844


Cash and cash equivalents at 01.01 71,492 58,419 66,510 51,977
Cash and cash equivalents at 30.06 57,912 78,675 55,870 74,821

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