Andmed seisuga: 06.07.2024 10:18 (GMT+3)

Eesti Telekom: Consolidated cash flow statement, Q1 2000

29.05.2000, Eesti Telekom, TLN
EESTI TELEKOM
CASH FLOW STATEMENT

CONSOLIDATED CASH FLOW STATEMENT, Q1 2000

In thousands EEK
3 mths to 3 mths to
31.03.00 31.03.99

Cash flow from operating activities
Profit before tax and minority 247,045 175,939
interest
Adjustments for:
Depreciation 247,362 213,215
Profit/Loss from sales and write- -486 -203
off of fixed assets
Income from subsidiaries and 103 -146
associated companies
Interests income/ - expense (net) 1,971 7,222
Other non-cash adjustments 1,221 2,118
Operating profit before working 497,216 398,145
capital changes

Change in current receivables -1,491 -85,970
Change in inventories 18,490 -10,742
Change in current liabilities 15,136 62,037
(except loans)
Adjusted cash generated from 529,351 363,470
operations

Interest paid -8,310 -15,679
Income tax paid 0 -19,937
Net cash flow from operating 521,041 327,854
activities

Cash flow from investing activities
Purchase of property, plant and -203,186 -189,727
equipment
Purchase of licenses -815 -1,054
Purchase of shares and other -40,000 -55,927
securities
Proceeds from sales of property, 2,175 418
plant and equipment
Proceeds from sales of shares and 10 11,671
other securities
Cash receipts from loan repayment 85 32
Loan granted -50 0
Interest received 3,326 5,654
Net cash flow from investing -238,455 -228,933
activities

Cash flow from financing activities
Repayment of non-convertible long- -1,722 -2,150
term debt
Repayment of long-term borrowings -118,440 -17,440
Payment of finance lease -282 -940
liabilities
Dividends paid to minority -208 0
shareholders
Net cash flow from financing -120,652 -20,530
activities

Net increase / - decrease in cash 161,934 78,391
and cash equivalents

Cash and cash equivalents at 485,318 272,022
beginning of year
Cash and cash equivalents at end 647,252 350,413
of the period


Raul Kalev
PR-manager
+372 6460 220

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