Andmed seisuga: 23.11.2024 13:22 (GMT+2)

Pennu CT: Unconsolidated cash flow statement 03/99

31.05.1999, , TLN
AS PENNU COMPUTER TECHNOLOGY GROUP
CASH FLOW STATEMENT
01.07-31.03.99

Financial year: 01.07-30.06
unconsolidated, unaudited
in thousand EEK parent parent
1998/99 9 months 1997/98 9 months


Cash flows from operating activities during the period

Sources
Net profit -33,964 7,234
Depreciation 610 552
Total -33,354 7,786

Cash used
Accounts receivable 6,685 -7,243
Other receivables -897 5,436
Accrued income -97 -1,141
Prepaid/refundable tax receivables 1,373 -3,264
Other prepaid expenses -199 -147
Inventories 9,818 -6,151
Prepayments to suppliers -426 351
Net change in current assets (except
cash and bank) 16,258 -12,160

Debentures (except bank loans) -41 -71
Customer prepayments 4 10
Accounts payable -3,359 2,505
Payables to subsidiaries -6,342 15,552
Tax liabilities 77 1,459
Accrued expenses -648 944
Other prepaid revenue
Non-convertible long-term borrowings 152 0
Deferred income tax 0 0
Net change in current liabilities
(except bank loan) and long-term
non-convertible borrowings -10,157 20,400

Net change in cash flow after operating activities -27,253 16,026

Cash flows from investing activities during the period

Sources
Marketable securities 0 1,415
Net cash sources 0 1,415


Cash used
Stock and shares in subsidiaries 13,840 -11,085
Stock and shares in affiliated companies 1,702 -424
Acquisition of non-current assets -167 96
Net cash used 15,375 -11,413

Net change in cash flow after investing activities -11,878 6,028

Cash flows from financing activities during the period

Sources
Current period long-term debt repayment -5,260 0
Long-term bank loans -2,077 12,000
Short-term loans (except from credit institutions) 5,000
Short-term loans from credit institutions 992 -4,482
Net cash sources -1,345 7,518

Cash used
Long-term receivables from subsidiaries 14,986 -11,910
Other long-term receivables -2,300 0
Dividend payments -1,600
Net cash used 12,685 -13,510

Net change in cash flow after financing activities -538 35

Check: change in net cash on balance sheet -538 35

Kaubeldavad väärtpaberid

Aktsiad
Võlakirjad
Fondid

Turuinfo

Statistika
Kauplemine
Indeksid
Oksjonid

Turureeglid

Reeglid ja hinnad
Järelevalve

Alusta siit

Ettevõttele
Investorile
Liikmetele
First North turu nõustajatele

Uudised

Nasdaqi uudised
Ettevõtete uudised
Kalender

Meist

Ettevõttest
Kontorid