Andmed seisuga: 02.07.2024 12:05 (GMT+3)

Hüvitusfond: Audited cash flow statement 12/98

14.05.1999, Hüvitusfond, TLN
HÜVITUSFOND
CASH FLOW STATEMENT
01.01-31.12.98

Audited,
in thousand EEK
1998 1997
Cash flow from operating activities
Cash generated from operations -370,012 132,241

Corrections:
Allowance for doubtful accounts 118,655 10,980
Value adjustments of short-term investments 181,096 3,467
Accumulated depreciation 2,036 1,758
Other write-offs and doubtful accounts 10,546 0
Proceeds from disposal of shareholdings in subsidiaries
and associated companies -2,702 0
Loss from equity method 23,861 1,161
Accounting interest income -148,643 -125,112
Accounting interest expenses 64,689 61,757
Profit/loss from sale of non-current assets 30 171

Acquisition of marketable securities -311,585 -1,361,629
Disposal of marketable securities 376,204 1,096,522
Interests paid -23,316 -28,550
Interests paid to bondholders -44,959 -28,938
Interests received 145,498 122,136
Change in prepaid expenses 10,934 -9,457
Change in other receivables 141,893 -246,089
Change in other liabilities 1,105 4,309
Change in supplier payables -1,884 2,306
Total cash flows from operating activities 173,445 -362,967

Cash flows from investing activities
Acquisition of non-current assets -3,422 -1,278
Disposal of non-current assets 26 511
Acquisition of shares in associated companies -26,500 -33,491
Disposal of shares in associated companies 13,120 0
Change in other non-current investments -166,795 -114,093
Total cash flows from investing activities -183,572 -148,351

Cash flows from financing activities
Proceeds from long-term borrowings 712,033 1,212,937
Repayment of long-term borrowings -900,570 -917,802
Revenues from privatization 235,232 268,889
Total cash flows from financing activities 46,695 564,024

Total cash flows 36,568 52,706

Cash and cash equivalents at beginning of period 36,568 52,706
Change in cash and cash equivalents 117,547 64,841
Cash and cash equivalents at the end of period 154,115 117,547

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