Andmed seisuga: 22.11.2024 20:19 (GMT+2)

Hüvitusfond: Cash flow statement 09/98

20.11.1998, Hüvitusfond, TLN
HüVITUSFOND
CASH FLOW STATEMENT
01.01-30.09.98



01.01-30.09.98
1. REVENUES FROM PRIVATIZATION 122,646,197.60
2. BONDS ISSUED 71,940,100.00
3. INTEREST REVENUES
3.1. From deposits 6,402,579.75
3.2. From bonds 51,064,673.65
3.3. Other interests 53,983,881.94
TOTAL INTEREST REVENUES 111,451,135.34
4. INTEREST EXPENSES
4.1. Interests on bonds 31,529,876,32
4.2. Loan interests 8,407,564,81
4.3. Other interests 10,217,315.85
TOTAL INTEREST EXPENSES 50,154,756.98
5. NET PROFIT FROM INTERESTS 61,296,378.36
6. PROFIT FROM INVESTMENTS
6.1. From current investments 14,215,084.92
(dividends, sales revenue)
6.2. From non-current investments 8,568,704.40
(dividends, sales revenue)
6.3. From subsidiaries and associated companies 740,768.82
(profit from equity method)
6.4. Real estate (rent, service fees) 1,101,914.32
TOTAL PROFIT FROM INVESTMENTS 24,626,472.46
7. INVESTMENT-RELATED EXPENSES
7.1. From current investments 260,601,155.03
(discount,loss)
7.2. From non-current investments 7,129,88.28
(discount,loss)
7.3. From subsidiaries and associated companies 14,823,143.75
(equity method)
7.4. Receivables (discount,doubtful accounts) 28,982,565.00
7.5. Real estate (expenses,depreciation,loss) 486,036.84
TOTAL INVESTMENT-RELATED EXPENSES 312,022,788.90
8. NET PROFIT FROM INVESTMENT -287,396,316.44
9. OTHER OPRATING REVENUES 2,628,928.12
10. OTHER OPERATING EXPENSES 4,745,405.09
11. ADMINISTRATIVE EXPENSES
11.1. Salary-reated expenses 4,610,432.04
11.2. Vacation reserves
11.3. Social taxes and other employee-related 1,550,358.29
taxes
11.4. Bond issuance expenses 1,123,016.47
11.5. Investment-related expenses 814,741.13
11.6. Marketing expenses 241,685.76
11.7. Other administrative expenses 2,989,481.61
11.8. Building administration expenses 301,764.55
11.9. Accumulated depreciation on 1,295,899.00
non-current assets
TOTAL ADMINISTRATIVE EXPENSES 12,927,378.85
12. PROFIT FROM NORMAL OPERATIONS -241,143,793.90
13. FUND'S NET PROFIT -190,437,696.30
14. FUND IN THE BEGINNING OF THE PERIOD 926,985,310.69
15. FUND AT THE END OF THE PERIOD 736,547,614.39



Accountant
Tiiu Randväli

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