Atnaujinta: 2024.11.28 15:21 (GMT+2)

STATEMENT OF CASH FLOWS 01.01-31.12.01 (

2002.02.26, Nordic Fibreboard, TLN

Viisnurk CASH FLOW STATEMENT 02/26/2002

STATEMENT OF CASH FLOWS 01.01-31.12.01 (AUDITED)

in thousands of kroons/ EEK EUR
euros 2001 2000 2001 2000

Profit before income tax 19 383 31 628 1 239 2 021
Adjustments for:
Period's accumulated depreciation 22 599 12 510 1 444 800
Gain on sale of shares 18 (369) 1 (24)
Income from long-term fin.invest. (829) (53)
Loss on sale of non-current assets 188 478 12 31
Interest expense 8 820 2 915 564 186
Operating profit before changes 50 179 47 162 3 207 3 014
in working capital
Change in current assets (6 116) (39 567) (391) (2 529)
Change in current liabilities (6 312) 22 258 (403) 1 423
Cash generated from operations 37 751 29 853 2 413 1 908
Interest paid (8 753) (4 310) (559) (275)

NET CASH FROM OPERATING ACTIVITIES 28 998 25 543 1 853 1 632

Acquisition of non-current assets (40 654) (118 701) (2 598) (7 586)
Sale of non-current assets 541 799 35 51
Acquisition of securities (764) (902) (49) (58)
Sale of securities 746 1 532 48 98

NET CASH USED IN INVESTING ACTIVITI (40 131) (117 272) (2 565) (7 495)

Proceeds from borrowing 5 000 74 499 320 4 761
Proceeds from issue of debt secur. 31 293 2 000
Repayment of loans (6 360) (18 650) (406) (1 192)
Settlement of finance lease liabil (1 139) (1 223) (73) (78)
Increase in the overdraft balance 13 760 7 772 879 497

NET CASH FROM FINANCING ACTIVITIES 11 261 93 691 720 5 988

NET INCREASE IN CASH 128 1 962 8 125
CASH AT BEGINNING OF PERIOD 4 908 2 946 314 188
CASH AT END OF PERIOD 5 036 4 908 322 314


Andrus Aljas
CFO
+372 44 78 355

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