Atnaujinta: 2024.07.06 10:09 (GMT+3)

Eesti Telekom: audited cash flow statement of AS Eesti Mobiiltelefon 1999

2000.05.25, Eesti Telekom, TLN
EESTI TELEKOM
CASH FLOW STATEMENT

AUDITED CASH FLOW STATEMENT OF AS EESTI MOBIILTELEFON 1999

ESTONIAN MOBILE TELEPHONE COMPANY
IAS, audited
EEK thous.
Group Parent Company
1999 1998 1999 1998
Cash flow from operating
activities
Profit before income tax 599,464 499,667 595,804 497,273
Depreciation 227,892 170,292 225,587 166,045
Pension expense 10,343 0 10,343 0
Profit (-) from sales and write- 2,237 -131 2,210 -106
off of fixed assets
Profit (-) from affiliated 0 0 -12,312 -4,099
companies under the equity
method
Income tax paid -136,170 -92,064 -132,375 -90,549
Interest income -5,601 -6,670 -5,379 -6,515
Interest expense 1,496 5,556 1,460 5,530
Change in short-term -25,486 -24,326 -13,419 -25,662
receivables
Change in inventories -22,465 -5,207 -19,066 1,360
Change in current liabilities 8,981 35,488 -4,821 33,624
Foreign exchange gains and 193 104 193 45
other non-cash adjustments
Net cash flow from operating 660,885 582,708 648,223 576,946
activities

Cash flow from investing
activities
Proceeds from sale financial 142 121 142 121
investments
Proceeds from sale of fixed 270 371 236 283
assets
Interest received 5,522 6,662 5,319 6,515
Dividends received 0 0 3,460 0
Purchase of financial -139 0 -139 0
investments
Purchase of a subsidiary 0 -18,594 0 -22,500
Purchase of fixed assets -305,720 -364,415 -300,493 -361,072
Net cash flow from investing -299,925 -375,855 -291,474 -376,652
activities

Cash flow from financing
activities
Proceeds from short-term 56,000 232,000 56,000 232,000
borrowings
Repayment of short-term -56,000 -280,000 -56,000 -280,000
borrowings
Interest paid -1,479 -5,980 -1,473 -5,980
Repayment of borrowings -5,507 -15,962 -5,507 -15,962
Dividends paid -185,000 -172,000 -185,000 -172,000
Minority contributions for 0 320 0 0
shares
Net cash flow from financing -191,987 -241,621 -191,980 -241,941
activities

Net increase / - decrease in 168,974 -34,768 164,769 -41,648
cash and cash equivalents


Cash and cash equivalents at 86,957 121,725 79,895 121,543
beginning of year
Cash and cash equivalents at 255,931 86,957 244,664 79,895
end of year


Raul Kalev
PR-manager
+372 6460 220

Vertybiniai popieriai

Akcijos
Obligacijos
Fondai

Rinkos informacija

Statistika
Prekyba
Indeksai
Aukcionai

Reguliavimas

Taisyklės ir nuostatos
Priežiūra

Kaip pradėti

Įmonėms
Investuotojams
Nariams
First North sertifikuotiems PATARĖJAMS

Naujienos

Nasdaq naujienos
Emitento naujienos
Kalendorius

Apie mus

Nasdaq Baltijos rinkoje
Biurai