Atnaujinta: 2024.07.21 01:13 (GMT+3)

ETL: Q2 AND HY1 2004 RESULTS, EEK

2004.07.15, Eesti Telekom, TLN

Eesti Telekom FINANCIAL RESULTS 07/15/2004 09:00

Q2 AND HY1 2004 RESULTS, EEK

AS EESTI TELEKOM AND SUBSIDIARY COMPANIES

Financial statements are prepared in thousands of Estonian
kroons (EEK)
INCOME STATEMENT
6 months to 6 months to 2003
30 June 30 June 2003
2004 Restated
Revenues
Net sales 2,493,601 2,277,761 4,777,858
Other revenues 12,694 17,171 30,393
Total revenues 2,506,295 2,294,932 4,808,251
Operating expenses
Materials, (876,782) (708,715) (1,662,093)
consumables, supplies
and services
Other operating (243,985) (215,491) (457,253)
expenses
Personnel expenses (300,531) (256,395) (532,140)
Other expenses (11,643) (11,791) (39,164)
Total operating (1,432,941) (1,192,392) (2,690,650)
expenses
Profit from 1,073,354 1,102,540 2,117,601
operations before
depreciation
Depreciation and (416,413) (449,778) (880,941)
amortisation
Profit from 656,941 652,762 1,236,660
operations
Net financial income (383) 57,610 55,462
/ (expenses) from
associates
Other net financing 19,777 18,715 33,495
items
Profit before tax 676,335 729,087 1,325,617
Income tax on (382,918) (286,022) (286,022)
dividends
Profit after tax 293,417 443,065 1,039,595
Minority interest 299 - (4,047)
Net profit for the 293,716 443,065 1,035,548
period
Earnings per share
Basic earnings per 2.13 3.22 7.53
share (in kroons)
Diluted earnings per 2.13 3.22 7.53
share (in kroons)

BALANCE SHEET

30 June 31 Dec 2003 30 June
2004 2003
Restated
ASSETS
Non-current assets
Property, plant and 2,083,710 2,275,868 2,360,260
equipment
Goodwill 10,534 10,287 1,957
Licenses, patents and 105,812 113,808 30,330
trademarks
Investments in 16,255 16,638 21,660
subsidiaries and
associates
Other investments 2,700 2,700 2,710
Other non-current 9,313 6,852 2,292
assets
Total non-current 2,228,324 2,426,153 2,419,209
assets
Current assets
Inventories 112,296 97,417 105,478
Trade receivables 581,036 486,037 453,115
Other receivables 218,608 219,893 197,705
Investments held for 28,554 48,709 48,538
trading
Cash and cash 1,094,883 1,320,802 1,132,365
equivalents
Total current assets 2,035,377 2,172,858 1,937,201
TOTAL ASSETS 4,263,701 4,599,011 4,356,410

EQUITY AND
LIABILITIES
Equity
Issued capital 1,379,545 1,376,445 1,376,445
Reserves 493,663 468,410 468,410
Translation reserve 11 (11) (34)
Retained earnings 1,188,792 1,254,670 1,254,670
Net profit for the 293,716 1,035,548 443,065
period
Total equity 3,355,727 4,135,062 3,542,556
Minority interest 13,241 13,540 9,491
Non-current
liabilities
Interest-bearing 1,855 3,694 8,011
loans and borrowings
- due after one year
Provisions 8,483 8,777 7,340
Total non-current 10,338 12,471 15,351
liabilities
Current liabilities
Trade payables 191,241 226,042 140,640
Other current 171,140 161,829 201,838
liabilities
Tax liabilities 487,878 35,696 414,602
Interest-bearing 30,825 8,346 21,725
loans and borrowings
- due within one year
Provisions 3,311 6,025 10,207
Total current 884,395 437,938 789,012
liabilities
TOTAL EQUITY AND 4,263,701 4,599,011 4,356,410
LIABILITIES

CASH FLOW STATEMENT

6 months to 6 months to
30 June 2004 30 June 2004
Operating activities
Profit from operations 656,941 652,762
Adjustments for:
Depreciation and 416,413 449,778
amortisation
(Profit) from sales and (2,705) (8,531)
write-off of fixed assets
Operating cash flow 1,070,649 1,094,009
before movements in
working capital
Change in current (97,866) (8,734)
receivables
Change in inventories (12,472) (13,709)
Change in current 36,749 (7,755)
liabilities
Cash generated by 997,060 1,063,811
operations
Interest paid 115 (630)
Net cash from operating 997,175 1,063,181
activities
Investing activities
Purchases of property, (183,352) (127,151)
plant and equipment
Purchases of licenses (7,576) (1,164)
Proceeds from sales of 5,194 10,465
property, plant and
equipment
Acquisition of (3,872) -
subsidiaries
Proceeds from sales - 68,137
subsidiaries
Purchases of trading (29,356) (48,524)
investments
Proceeds on disposal of 49,510 79,041
trading investments
Loans granted (6,384) (502)
Cash receipt from 33 42
repayment of loans
Interest received 30,303 22,998
Net cash used in (145,500) 3,342
investing activities
Financing activities
Repayment of long-term (48) (166)
convertible debt
Proceeds from 233 240
nonconvertible long-term
debt
Repayment of (3,688) (5,533)
nonconvertible long-term
debt
Repayment of long-term - (11,636)
borrowings
Repayment of obligations (394) -
under finance lease
Repayment of short-term (176) -
borrowings
Shares issuance (Rights 27,782 23,413
Offering)
Dividends paid (1,101,165) (824,309)
Net cash used in (1,077,456) (817,991)
financing activities
Net increase in cash and (225,781) 248,532
cash equivalents
Cash and cash equivalents 1,320,802 883,988
at beginning of year
Effect of foreign (138) (155)
exchange rate changes
Cash and cash equivalents 1,094,883 1,132,365
at end of period


Hille Võrk
Financial Manager
6 272 460

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