Andmed seisuga: 22.11.2024 17:42 (GMT+2)
AS NORMA
CASH FLOW STATEMENT
01.01-31.12.98
Consolidated, audited
in thousand EEK
1998 1997
Cash flows from operating activities:
Net profit 84 047 195 780
Profit/loss from sales of non-current assets 257 -218
Depreciation of non-current assets 28 669 23 981
Residual value of disposed assets 167 102
Increase/decrease in current assets 37 423 -33 041
Increase/decrease in current liabilities 4 772 13 043
Interests and other financial revenues received 3 754 5 157
Interests paid -4 331 -3 123
Other financial expenses -3 589 0
Taxes paid -57 374 -19 628
Loss from financing activities -954 -2 428
Net cash flow from operating activities: 92 841 179 626
Cash flows in investing activities:
Disposal of non-current assets 1 612 861
Purchase of non-current assets -69 320 -49 048
Acquisition of affiliated companies 0 -2 381
Disposal of affiliated companies 5 001 982
Disposal of subsidiaries 0 65
Loans made -985 -2 442
Loan payments received 1 987 1 206
Net cash flow in investing activities -61 705 -50 757
Cash flows from financing activities:
Proceeds from borrowings 80 171 0
Repayment of loans 0 -63 786
Dividends paid -105 600 -13 200
Net cash flow from financing activities -25 429 -76 986
NET CASH FLOWS: 5 707 51 883
Increase/decrease in cash and cash equivalents:
Cash and cash equivalents at beginning of period: 75 330 21 730
Increase 5 707 51 883
Exchange differences -13 996 1 717
Cash and cash equivalents at the end of period: 67 041 75 330
incl. cash and bank 66 893 17 818
marketable securities 148 57 512
Raivo Harand
Controller
+372 650 0482