Andmed seisuga: 30.11.2024 01:24 (GMT+2)
Eesti Telekom FINANCIAL RESULTS 03/06/2003 10:00
2002.A. AUDITED RESULTS
Consolidated Income Statements, Balance Sheets
and Cash Flow Statements of
AS Eesti Telekom
for the financial year ended
31 December 2002
AS Eesti Telekom and Subsidiary Companies
Income statements for the year ended 31 December 2002
Financial statements are prepared in thousands of kroons (EEK)
Income statements
CONSOLIDATED
2002 2001
Restated
Revenues
Net sales 4,467,311 4,154,438
Change in work-in-progress 864 529
Capitalized self-constructed 65,384 87,112
assets
Other revenues 91,737 42,461
Total revenues 4,625,296 4,284,540
Operating expenses
Materials, consumables, (1,503,759) (1,351,555)
supplies and services
Other operating expenses (434,844) (434,137)
Personnel expenses (513,005) (534,754)
Other expenses (42,786) (33,118)
Total operating expenses (2,494,394) (2,353,564)
Profit / (loss) from 2,130,902 1,930,976
operations before depreciation
Depreciation and amortisation (1,000,468) (1,135,661)
Profit / (loss) from 1,130,434 795,315
operations
Net income/(expenses) from (5,153) 26,828
subsidiaries and associates
Other net financing items 6,443 (11,719)
Profit before tax 1,131,724 810,424
Income tax on dividends (91,298) (30,932)
Profit after tax 1,040,426 779,492
Minority interest - (557)
Net profit for the period 1,040,426 778,935
Earnings per share
Basic earnings per share (in 7.57 5.67
kroons)
Diluted earnings per share (in 7.57 5.67
kroons)
AS Eesti Telekom and Subsidiary Companies
Balance sheets as of 31 December 2002
Financial statements are prepared in thousands of kroons (EEK)
Balance sheets
CONSOLIDATED
2002 2001
ASSETS
Non-current assets
Property, plant and 2,673,673 3,043,869
equipment
Goodwill 3,687 14,814
Licences, patents and 38,853 41,325
trademarks
Investments in subsidiaries 22,696 17,940
and associates
Other investments 2,710 2,758
Other non-current 2,048 5,766
receivables
Total non-current assets 2,743,667 3,126,472
Current assets
Inventories 93,428 104,013
Trade and other receivables 641,300 541,440
Cash and cash equivalents 963,043 464,217
Total current assets 1,697,771 1,109,670
TOTAL ASSETS 4,441,438 4,236,142
EQUITY AND LIABILITIES
Capital and reserves
Issued capital 1,373,833 1,373,833
Reserves 447,348 447,348
Translation reserve (25) -
Accumulated profits 2,078,979 1,794,170
Total capital and reserves 3,900,135 3,615,351
Non-current liabilities
Interest-bearing loans and 19,761 49,115
borrowings
Current liabilities
Trade and other payables 469,537 466,028
Interest-bearing loans and 35,706 88,166
borrowings
Provisions 16,299 17,482
Total current liabilities 521,542 571,676
TOTAL EQUITY AND 4,441,438 4,236,142
LIABILITIES
AS Eesti Telekom and Subsidiary Companies
Cash flow statements for the year ended 31 December 2002
Financial statements are prepared in thousands of kroons (EEK)
Cash flow statements
CONSOLIDATED
2002 2001
Cash flows from / (to) operating
activities
Profit before income tax on 1,131,724 810,424
dividends and minority
interest
Adjustments for:
Depreciation and amortization 1,000,468 1,135,661
(Profit) / loss from sales and (54,718) 1,473
write-off of fixed assets
(Income) / expense from 5,153 (26,828)
subsidiaries and associates
(Profit) / loss from revaluation (294) 7,823
of investments
Interests (income) / expense, (16,582) (3,070)
net
Other non-cash adjustments (47) (309)
Operating profit / (loss) before 2,065,704 1,925,174
working capital changes
Change in current receivables (87,679) (56,615)
Change in inventories 11,676 45,210
Change in current liabilities (782) (159,419)
Adjusted cash generated from / 1,988,919 1,754,350
(used in) operations
Interest paid (7,663) (15,179)
Income tax paid (91,298) -
Net cash from / (used in) 1,889,958 1,739,171
operating activities
Cash flows / (to) from investing
activities
Purchase of property, plant and (592,798) (914,606)
equipment
Purchase of licenses (33,682) (35,928)
Acquisition of subsidiaries - (14,486)
Acquisition of associated (10,000) (6,000)
companies
Purchase of investments, shares - (1,510)
and other
Proceeds from sales of property, 85,421 11,426
plant and equipment
Proceeds from sales of - 43,500
investments
Loans granted (440) (4,770)
Cash receipts from repayment of 60 84
loans
Dividends collected 96 181
Interest collected 16,736 19,487
Net cash from / (used in) (534,607) (902,622)
investing activities
Cash flow used in financing
activities
Proceeds from long-term debt 484 440
Repayment of long-term debt (10) (15)
Repayment of unsecured short- - (100,000)
term bonds
Proceeds from nonconvertible 1,576 7
long-term debt
Repayment of nonconvertible long- (5,951) (5,223)
term debt
Repayment of long-term (79,238) (105,038)
borrowings
Repayments of obligations under (17,769) (16,629)
finance lease liabilities
Proceeds from short-term - 78,233
borrowings
Repayment of short-term - (78,233)
borrowings
Dividends paid (755,617) (755,617)
Net cash used in financing (856,525) (982,075)
activities
Net increase / (decrease) in 498,826 (145,526)
cash and cash equivalents
Cash and cash equivalents at 464,217 609,743
beginning of year
Cash and cash equivalents at end 963,043 464,217
of year
Hille Võrk
Finantsjuht
6 272 460