Andmed seisuga: 27.11.2024 21:37 (GMT+2)

Baltika: Consolidated cash flow statement, H1 2001

25.07.2001, Baltika, TLN
BALTIKA
CASH FLOW STATEMENT

CONSOLIDATED CASH FLOW STATEMENT, H1 2001

Consolidated, unaudited
in thousand EEK 01.01-30.06 01.01-30.06
2001 2000
Operating activities
Operating profit 11,496 6,335
Accumulated depreciation 6,900 5,752
Profit from sale of fixed assets 331 471
Exchange differences -414 376
Change in receivables -536 5,616
Change in inventories -8,131 -9,268
Change in supplier payables -8,167 -6,140
Interest paid -2,328 -2,347
Income tax paid -69 0
Net cash from operating activities -918 795

Investing activities
Purchase of fixed assets -14,180 -6,496
incl. installment payments 0 -192
Disposal of fixed assets 209 821
Finance lease payments -211 0
Acquisition of non-current investments 0 -471
Acquisition of holding in subsidiary -1,719 0
Proceeds from sale of investments 0 2,046

Interest received 50 167
Dividends received 9 0
Securities purchased 0 -9,636
Sale of securities 0 11,586
Repayment of loans granted 14 380
Loans granted -53 -29
Net cash used in investing activities -15,881 -1,824


Financing activities
Repayment of borrowings -10,125 -2,906
Proceeds from borrowings 21,605 0
Net cash from transactions with treasury shares -1,575 1,418
Treasury shares of subsidiaries paid -51 -150
Dividends paid -3,863 -3,041
Proceeds from sale of convertible bonds 192
Net cash used in financing activities 6,183 -4,679
Effects of exchange differences 0 -6
Net change in cash -10,616 -5,714

Cash at beginning of period 15,298 16,588
Cash at end of period 4,682 10,874


Ülle Järv
Management Board member
+372 6 302 741

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