Atnaujinta: 2024.11.26 23:18 (GMT+2)
SAKU ÕLLETEHAS
CASH FLOW STATEMENT
PARENT COMPANY CASH FLOW STATEMENT, 9M 2000
in thousand EEK
Parent** Parent** Parent Parent
Jan-Sep Jan-Sep
2000 1999 1999 1998
Profit before taxes 63,380 69,135 75,915 56,340
Income tax -16,081 -15,020 -12,643
Depreciation 27,692 22,743 30,852 25,458
Loss from sales and write-
offs of fixed assets -91 -37 -86 -120
Expenses incurred by
revaluation of shares in Saku
Keldri OÜ under equity method 114
Total 90,981 75,760 91,775 69,035
Change in the value of the 1,069 -4,841 -3,091 -59
financial investments:
incl. change in the value of 1,069 -6,763 -5,021
the short-term financial investments
change in the value of the 1,922 1,930 -59
long-term financial investments
Change in inventories -24,572 -8,176 -5,049 -13,892
Change in trade receivables 23,167 17,571 -61 -10,740
Change in current liabilities 2,581 9,055 3,249 13,398
Total 2,245 13,609 -4,952 -11,293
Net cash from operating 93,226 89,369 86,823 57,742
activities
Investing activitiess
Acquisition of fixed assets -64,274 -42,787 -51,644 -47,584
Sales of fixed assets at 395 385 654 722
sales prices
Acquisition of shares -1,950 -100
Acquisition of bonds -3,300
Income from liquidation of
subsidiaries 200
Repayment of loans issued 47 531 541 42
Net cash used in investing -69,082 -41,871 -50,249 -46,920
activities
Financing activities
Dividends paid -40,000 -32,000 -32,000 -16,000
Income tax paid on dividends -4,625
Net cash used in financing -44,625 -32,000 -32,000 -16,000
activities
Total cash flows -20,481 15,498 4,574 -5,178
Cash, opening balance 28,134 23,560 23,560 28,738
Cash, closing balance 7,653 39,058 28,134 23,560
Net change in cash -20,481 15,498 4,574 -5,178
** - unaudited
Ruth Roht
Public Relations Manager
+372 6 508 303