Atnaujinta: 2024.11.26 20:02 (GMT+2)
SAKU ÕLLETEHAS
CASH FLOW STATEMENT
CONSOLIDATED CASH FLOW STATEMENT OF 2000
consolidated, audited
in kroons
Group Group Parent Parent
company company
2000 1999 2000 1999
Profit before taxes 74,209,835 76,029,104 74,209,835 75,914,870
Income tax -254,800 -15,019,840 -254,800 -15,019,830
Depreciation 39,091,083 30,852,523 39,091,083 30,852,523
Sales and write-offs of 92,454 -86,112 92,454 -86,112
fixed assets
Expenses incurred from 114,224
revaluation of shares of
Saku Keldri OÜ under the
equity method
Total 113,138,572 91,775,675 113,138,572 91,775,675
Change in the value of 1,088,836 -3,090,911 1,088,836 -3,090,911
financial investment:
incl. Change in the value of 1,088,836 -5,021,073 1,088,836 -5,021,073
the short-term financial
investments
Change in the value of 1,930,162 1,930,162
the long-term financial
investments
Change in inventories -26,819,703 - 4,777,437 -26,819,703 -5,047,567
Change in trade receivables 26,214,519 -1,575,599 26,206,720 -61,537
Change in current 585,091 2,965,592 596,600 3,248,839
liabilities
Total 1,068,743 -6,478,355 1,072,453 -4,951,176
Net cash from operating 114,207,315 85,297,320 114,211,025 86,824,499
activities
Investing activities
Acquisition of fixed assets -74,982,822 -51,643,782 -74,982,822 -51,643,782
Cash from sales of fixed 490,422 652,100 490,422 652,100
assets
Acquisition of land -366,823 -366,823
Acquisition of shares -1,950,000 -1,950,000
Collection of long-term 151,513 114,277
receivables
Acquisition of debt -8,600,000 -8,600,000
securities
Cash from liquidation of 200,000
subsidiaries
Redemption of loans by 53,280 541,440 53,280 541,440
debtors
Net cash used in investing -85,204,430 -50,450,242 -85,211,666 -50,250,242
activities
Financing activities
Dividends paid -40,000,000 -32,000,000 -40,000,000 -32,000,000
Income tax on -4,624,848 -4 624 848
dividends paid
Finance lease payments -1,936,695 -1,936,695
incl. Finance lease 570,304 570,304
interest
TOTAL CASH FLOWS -16,988,354 2,847,078 -16,991,880 4,574,257
Cash, opening balance 28,175,604 25,328,526 28,134,130 23,559,873
Cash, closing balance 11,187,250 28,175,604 11,142,250 28,134,130
Net change in cash -16,988,354 2,847,078 -16,991,880 4,574,257
No adjustments have been made to the cash flow statement of 1999.
Ruth Roht
Public Relations Manager
+372 6 508 303