Andmed seisuga: 25.11.2024 19:35 (GMT+2)
RAKVERE LIHAKOMBINAAT
CASH FLOW STATEMENT
CONSOLIDATED CASH FLOW STATEMENT, Q1 2000
Consolidated, unaudited
in thousand EEK
Q1 2000 Q1 1999
Cash flow from operating activities
Revenue 4,710 -26
Exchange differences 6,383 -2,799
Change in short-term receivables -3,254 2,921
Change in inventories -2,683 7,382
Change in current liabilities 2,342 -72,392
Interests paid -3,301 -6,579
Total cash flow from investing activities 4,197 -71,493
Cash flow from investing activities
Change in tangible fixed assets -8,271 15,580
Change in intangible assets 284 46
Change in long-term investing activities -696 139
Interests received 108 2,470
Total cash flow from investing activities -8,575 18,235
Cash flow from financing activities
Cange in long-term borrowings and finance lease liabilities -45 51,006
Total cash flow from financing activities -45 51,006
Change in cash and cash equivalents -4,423 -2,252
Cash and cash equivalents at the beginnind of the period 10,152 10,185
Cash and cash equivalents at the end of the period 5,729 7,933
Andrit Heidov
Information Manager
+372 32 29 211