Andmed seisuga: 24.11.2024 02:16 (GMT+2)
AS RAKVERE LIHAKOMBINAAT
BALANCE SHEET
30.06.1999
Consolidated, unaudited
in thousand EEK Group Group Parent Parent
6/30/99 12/31/98 6/30/99 12/31/98
ASSETS
Current assets
Cash and bank 25,666 10,185 15,110 1,670
Accounts receivable
Customer receivables 68,241 70,548 50,227 51,241
Allowance for doubtful accounts -11,766 -11,749 -11,463 -11,749
Total accounts receivable 56,475 58,799 38,764 39,492
Other receivables
Receivables from subsidiaries and parent company 4 56,388 68,800
Other current receivables 890 183 783 133
Total other receivables 890 187 57,171 68,933
Accrued income
Interests 1,915 388
Other accrued income 612
Total accrued income 0 612 1,915 388
Prepaid expenses
Prepaid/refundable tax receivables 11,808 7,625 729 48
Other prepaid expenses 2,235 2,838 1,221 1,692
Total prepaid expenses 14,043 10,463 1,950 1,740
Inventories
Raw materials 56,064 62,689 37,431 44,769
Work-in-process 34,685 35,817 429 314
Finished goods 17,075 18,928 11,270 14,544
Merchandise purchased for resale 4,387 4,577 385 746
Prepayments to suppliers 469 769 239 468
Total inventories 112,680 122,780 49,754 60,841
Total current assets 209,754 203,026 164,664 173,064
Non-current assets
Long-term finanacial investments
Stock and shares in subsidiaries 30,113 27,933
Non-current receivables from subsidiaries 116,211 1,253
arnd parent company
Other shares, units and bonds 1,515 1,475 1,470 1,470
Other non-current receivables 2,121 1,335 2,121 1,288
Total long-term finanacial investments 3,636 2,810 149,915 31,944
Tangible assets
Land and building (acquisition cost) 308,638 308,358 219,395 219,555
Plant and equipment (acquisition cost) 476,393 472,735 391,700 394,764
Other equipment and fixtures 58,964 56,328 28,400 27,543
Accumulated depreciation (less) -481,264 -446,178 -389,481 -368,044
Unfinished building 29,180 27,926 1,000 2,213
Prepayments for tangible assets 3,911 3,077 889 1,188
Total tangible assets 395,822 422,246 251,903 277,219
Intangible assets
Development costs 2,303 1,857 1,784 1,496
Prepayments for intangible assets 1,468 1,468
Total intangible assets 3,771 1,857 3,252 1,496
Total assets 403,229 426,913 405,070 310,659
TOTAL ASSETS 612,983 629,939 569,734 483,723
Liabilities and owners' equity Group Group Parent Parent
6/30/99 12/31/98 6/30/99 12/31/98
Current liabilities
Borrowings
Debentures (except bank loans) 102,004 104,260 101,547 103,447
Convertible debt 1,635 1,640
Current period long-term debt repayment 10,057
Short-term loans from financial institutions 3,492 48,091 21,237
Total current liabilities 107,131 164,048 101,547 124,684
Customer prepayments 419 848 51
Supplier payables
Notes payable 53,848 63,187 27,135 33,721
Total supplier payables 53,848 63,187 27,135 33,721
Other payables
Payables to subsidiaries and parent company 3,587 2,809 5,788 3,564
Total other payables 3,587 2,809 5,788 3,564
Tax liabilities 10,892 8,358 3,655 4,734
Accrued expenses
Salary-related accrued expenses 8,561 8,574 5,992 6,066
Interests payable 6,420 2,824 6,416 2,824
Other accrued expenses 83 203 34 10
Total accrued expenses 15,064 11,601 12,442 8,900
Total current liabilities 190,941 250,851 150,567 175,654
Non-current liabilities
Long-term borrowings
Non-convertible long-term debt 20,576 24,326 19,637 23,452
Bank loans 6,983 62,779
Borrowings from subsidiaries and parent company 106,579 106,579
Total non-current liabilities 134,138 87,105 126,216 23,452
Total liabilities 325,079 337,956 276,783 199,106
Minority interest of off-group shareholders 3,147 5,119
Owners' equity
Share capital 377,217 377,217 377,217 377,217
Reserves
Mandatory reserve capital 1,416 1,416 1,416 1,416
Other reserves
Retained earnings -94,016 5,200 -94,016 1,999
Profit/loss for the financial year 220 -96,015 8,334 -96,015
Unrealized exchange differences -80 -954
Total owners' equity 284,757 286,864 292,951 284,617
Total liabilities and owners' equity 612,983 629,939 569,734 483,723