Andmed seisuga: 23.11.2024 05:38 (GMT+2)
AS HARJU ELEKTER
BALANCE SHEET
31.03.99
Consolidated, unaudited
in thousand EEK
Parent Group
ASSETS 03/31/99 03/31/98 03/31/99 03/31/98
Cash and bank 6,932 13,249 7,001 13,852
Marketable securities 368 1,433 368 1,433
Total accounts receivable 10,790 8,556 12,820 9,410
Receivables to parent company / subsidiary 918 491 240
Other receivables 5,436 298 5,451 300
Accrued income 3 1 3 1
Prepaid expenses 159 332 172 344
Tax prepayments 540 550 540 611
Total current receivables 17,845 10,228 18,984 10,906
Total liquid assets 25,145 24,910 26,353 26,191
Raw materials and inventories 14,369 15,820 16,353 17,087
Goods 3,090 3,077 3,251 3,246
Prepayments to suppliers 0 132 0 404
Total inventories 17,458 19,029 19,604 20,737
TOTAL CURRENT ASSETS 42,604 43,939 45,957 46,928
Stock and shares in subsidiaries 3,269 2,701
Stock and shares in affiliated companies 17,252 14,329 16,488 14,892
Other securities 1,554 1,570 1,554 1,584
Other long-term receivables 434 239 465 239
Other receivables to parent / subsidiaries 465 785 0 0
Total financial investments 22,974 19,624 18,507 16,714
Plant and equipment 37,200 23,984 37,200 23,984
Other equipment and fixtures 20,019 18,905 25,410 22,536
Other inventory 1,434 1,343 1,707 1,542
Accumulated depreciation -14,414 -12,191 -15,520 -12,811
Unrealized capital investments 2,828 429 3,392 429
Total tangible assets 564 32,470 52,189 35,679
Goodwill 47,632 377 473
TOTAL NON-CURRENT ASSETS 70,606 52,094 71,073 52,867
TOTAL ASSETS 113,210 96,033 117,030 99,795
LIABILITIES AND OWNERS' EQUITY
Debentures 520
Current period repayment of long-term loans 3,936 3,016 3,936 3,016
Short-term loans from credit institutions 1,573 946 1,873 1,280
Customer prepayments 20 55 21 98
Supplier payables 7,154 6,431 8,315 7,151
Tax liabilities 3,624 228 3,624 228
Accrued expenses 3,731 6,356 3,945 6,562
Prepaid revenues 4,300 6,880 4,780 7,328
TOTAL CURRENT LIABILITIES 24,337 23,912 27,014 25,663
Non-convertible debt obligations 0 0 1,361 0
Long-term bank loan 15,744 12,813 15,744 13,820
Potential income tax liability 2,495 1,870 3,051 2,128
TOTAL NON-CURRENT LIABILITIES 18,239 14,683 20,157 15,948
TOTAL LIABILITIES 42,576 38,595 47,171 41,611
Share capital 18,000 18,000 18,000 18,000
Reserves 3,610 2,010 3,610 2,010
Retained earnings 44,169 32,614 44,169 32,614
NET PROFIT (-LOSS) FOR THE FINANCIAL YEAR 4,854 4,814 4,080 5,560
TOTAL OWNERS' EQUITY 70,633 57,438 69,859 58,184
TOTAL LIABILITIES AND OWNERS' EQUITY 113,210 96,033 117,030 99,795
Karin Padjus
Accountant
+372 67 47 403