Andmed seisuga: 05.07.2024 20:07 (GMT+3)

ETL: Eesti Telekom. Q2 Financial Statements. EEK

15.07.2005, Eesti Telekom, TLN
AS EESTI TELEKOM      FINANCIAL REPORT     15 JULY 2005                     

AS EESTI TELEKOM AND SUBSIDIARY COMPANIES

II QUARTER INCOME STATEMENT

Financial statements are prepared in thousands of EEK

II Quarter II Quarter
2005 2004
Restated
Revenues
Net sales 1,244,512 1,280,651
Other operating income 5,900 6,418
Total revenues 1,250,412 1,287,069
Operating expenses
Materials, consumables, (430,863) (451,102)
supplies and services
Other operating expenses (132,549) (131,380)
Personnel expenses (129,855) (147,217)
Other expenses (4,710) (5,554)
Total operating expenses (697,977) (735,253)
Profit from operations 552,435 551,816
before depreciation
Depreciation, amortisation (185,132) (204,563)
and impairment of fixed and
intangible assets
Profit from operations 367,303 347,253
Net income / (expenses) from (856) (201)
associates
Other net financing items 13,920 10,279
Profit before tax 380,367 357,331
Income tax on dividends (348,517) (382,918)
Net profit / (loss) for the 31,850 (25,587)
period
Attributable to:
Equity holders of the parent 31,850 (25,635)
Minority interest - 48
31,850 (25,587)
Earnings per share for
profit attributable to the
equity holders of the parent
during the reporting period
(expressed in EEK per share)
Basic earnings per share 0.23 (0.19)
Diluted earnings per share 0.23 (0.19)


AS EESTI TELEKOM AND SUBSIDIARY COMPANIES

THE FIRST HALF YEAR INCOME STATEMENT

Financial statements are prepared in thousands of EEK

I HY 2005 I HY 2004 2004
Restated Restated
Revenues
Net sales 2,461,816 2,493,601 5,116,109
Other operating 8,218 10,940 22,134
income
Total revenues 2,470,034 2,504,541 5,138,243
Operating expenses
Materials, (874,734) (876,782)(1,896,398)
consumables,
supplies and
services
Other operating (256,213) (243,985) (520,166)
expenses
Personnel expenses (258,850) (300,531) (579,316)
Other expenses (8,326) (9,889) (20,011)
Total operating (1,398,123)(1,431,187)(3,015,891)
expenses
Profit from 1,071,911 1,073,354 2,122,352
operations before
depreciation
Depreciation, (375,339) (416,413) (816,472)
amortisation and
impairment of
fixed and
intangible assets
Profit from 696,572 656,941 1,305,880
operations
Net income / 2,117 (383) 45,183
(expenses) from
associates
Other net 25,815 19,777 30,315
financing items
Profit before tax 724,504 676,335 1,381,378
Income tax on (348,517) (382,918) (382,918)
dividends
Net profit for the 375,987 293,417 998,460
period
Attributable to:
Equity holders of 375,987 293,716 993,568
the parent
Minority interest - (299) 4,892
375,987 293,417 998,460
Earnings per share
for profit
attributable to
the equity holders
of the parent
during the
reporting period
(expressed in EEK
per share)
Basic earnings per 2.73 2.13 7.21
share
Diluted earnings 2.73 2.13 7.21
per share

AS EESTI TELEKOM AND SUBSIDIARY COMPANIES

BALANCE SHEET

Financial statements are prepared in thousands of EEK

30 June 31 30 June
2005 December 2004
2004
ASSETS
Non-current assets
Fixed assets 1,833,016 2,014,908 2,083,710
Goodwill 5,452 - 10,534
Licenses, patents 82,929 91,190 105,812
and trademarks
Investments in 20,921 18,804 16,255
subsidiaries and
associates
Non-current - - 2,700
securities
Other non-current 26,834 19,985 9,313
receivables
Total non-current 1,969,152 2,144,887 2,228,324
assets
Current assets
Inventories 111,166 124,382 112,296
Trade receivables 573,474 577,481 581,036
Other receivables 194,735 192,648 218,608
Current securities 32,236 28,874 28,554
Cash and cash 1,249,772 1,456,225 1,094,883
equivalents
Total current assets 2,161,383 2,379,610 2,035,377
TOTAL ASSETS 4,130,535 4,524,497 4,263,701
EQUITY AND
LIABILITIES
Equity
Equity attributable
to equity holders of
the parent
Issued capital 1,379,545 1,379,545 1,379,545
Reserves 493,973 493,663 493,663
Translation reserve - - 11
Retained earnings 1,078,402 1,188,781 1,188,792
Net profit for the 375,987 993,568 293,716
period
Total equity 3,327,907 4,055,557 3,355,727
attributable to
equity holders of
the parent
Minority interest - - 13,241
Total equity 3,327,907 4,055,557 3,368,968
Non-current
liabilities
Interest-bearing 1,007 604 1,855
loans and borrowings
Provisions 7,319 8,006 8,483
Total non-current 8,326 8,610 10,338
liabilities
Current liabilities
Trade payables 182,338 264,702 191,241
Other current 158,108 139,181 171,140
liabilities
Tax liabilities 447,057 33,023 487,878
Interest-bearing 2,775 18,968 30,825
loans and borrowings
Provisions 4,024 4,456 3,311
Total current 794,302 460,330 884,395
liabilities
TOTAL EQUITY AND 4,130,535 4,524,497 4,263,701
LIABILITIES

AS EESTI TELEKOM AND SUBSIDIARY COMPANIES

CASH FLOW STATEMENT

Financial statements are prepared in thousands of EEK

I Half Year I Half Year
2005 2004
Operating activities
Profit from operations 696,572 656,941
Adjustments for:
Depreciation, amortisation 375,339 416,413
and impairment of fixed and
intangible assets
(Profit) / loss from sales (3,962) (2,705)
and write-off of fixed
assets
Operating cash flow before 1,067,949 1,070,649
changes in working capital
Change in current 18,953 (97,866)
receivables
Change in inventories 13,217 (12,472)
Change in current (1,499) 36,749
liabilities
Cash generated by operations 1,098,620 997,060
Interest paid (501) 115
Income tax on dividends paid (24) -
Net cash from operating 1,098,095 997,175
activities
Investing activities
Purchases of property, plant (182,179) (183,352)
and equipment
Purchases of licenses (4,874) (7,576)
Proceeds from sales of fixed 8,801 5,194
assets
Net cash outflow from (4,944) (3,872)
acquisition of subsidiaries
Purchases of current (24,372) (29,356)
securities
Proceeds on disposal of 20,794 49,510
current securities
Loans granted (29,765) (6,384)
Repayment of loans granted 565 33
Interest received 30,798 30,303
Net cash used in investing (185,176) (145,500)
activities
Financing activities
Repayment of convertible - (48)
debt
Proceeds from non- 793 233
convertible debt
Repayment of nonconvertible (2,199) (3,688)
debt
Repayment of long-term (333) -
borrowings
Repayment of finance lease (14,765) (394)
liabilities
Repayment of short-term - (176)
borrowings
Shares issuance - 27,782
Dividends paid (1,103,727) (1,101,165)
Net cash used in financing (1,120,231) (1,077,456)
activities
Net change in cash and cash (207,312) (225,781)
equivalents
Cash and cash equivalents at 1,456,225 1,320,802
beginning of year
Effect of foreign exchange 859 (138)
rate changes
Cash and cash equivalents at 1,249,772 1,094,883
end of period




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