Andmed seisuga: 07.07.2024 06:14 (GMT+3)

Tallinna Kaubamaja: Consolidated cash flow statement, 01.01.-31.03.00

25.05.2000, TKM Grupp, TLN
TALLINNA KAUBAMAJA
CASH FLOW STATEMENT

CONSOLIDATED CASH FLOW STATEMENT, 01.01.-31.03.00

in thousand EEK
01.01.-31.03.2000 01.01.-31.12.1999

Operating activities
Operating profit 7,217 34,305
Depreciation of fixed assets 8,810 38,118
Profit/loss from sale and liquidation
of fixed assets -36 1,148
Effect of equity method 78 1,397
Sale of long-term financial assets
and value adjustments -1,548 -3,014
Exchange differences in borrowings 0 -57
Adjustments to changes in receivables
and inventories -28,268 1,484
Adjustments to changes in liabilities -14,624 2,538
Net cash from operating activities -28,370 75,918

Investing activities
Other loans granted -3,024 -3,993
Repayment of other borrowings 0 0
Purchase and renovation of tangible
fixed assets (except finance lease) -32,715 -14,903
Proceeds from sale of fixed assets 87 806
Net cash used in investing activities -35,652 -18,090

Financing activities
Change in credit line balance 21,261 0
Proceeds from borrowings 47,500 28,000
Repayment of borrowings -10,370 -64,677
Finance lease payments -1,043 -6,400
Dividends paid 0 -10,182
Interest paid 188 704
Net cash used in financing activities 57,536 -53,259

Total cash flow -6,486 4,569

Exchange differences 0 3,807

Cash and bank at 01.01. 27,310 22,737
Cash and bank at 31.03. 20,824 27,310
Change: -6,486 4,573


Urmo Vallner
Management Board member
+372 6 400 200

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