Atnaujinta: 2024.11.28 18:26 (GMT+2)

AUDITED CASH FLOW STATEMENT 2001

2002.03.08, Luterma, TLN

Kalev CASH FLOW STATEMENT 03/08/2002

AUDITED CASH FLOW STATEMENT 2001

(in kroons)

2001 2000
CASH FLOW FROM OPERATING
ACTIVITIES EEK EEK
OPERATING PROFIT 35 508 554 23 678 335
DEPRECIATION OF PROPERTY,
PLANT AND EQUIPMENT 9 921 676 10 975 898

DEPRECIATION OF
INTANGIBLE ASSETS 25 000 0
PROFIT/LOSS FROM SALES
OF NON-CURRENT ASSETS -3 064 784 585 248

CHANGE IN RECEIVABLES -4 824 963 23 132 540
CHANGE IN INVENTORIES 1 183 730 6 583 810
CHANGE IN LIABILITIES -2 728 565 -9 559 425
INTERESTS PAID -5 231 521 -7 876 565
TOTAL CASH FLOW FROM
OPERATING ACTIVITIES 30 789 127 47 519 841


CASH FLOW FROM
INVESTING ACTIVITIES
PROCEEDS FROM SALES
OF SHARES 0 5 693 241
PROCEEDS FROM SALES OF
PROPERTY,PLANT AND EQUIPM. 6 786 720 1 609 704

PROPERTY, PLANT AND
EQUIPMENT ACQUIRED -17 097 808 -21 361 841
INTANGIBLE ASSETS ACQUIRED -300 000 0
FIXED ASSETS ACQUIRED
WITH LEASE 0 946 756
CASH FLOW FROM SUBSIDIARIES 0 7 245 354
CHANGE IN LOANS GIVEN 0 374 800
INTEREST RECEIVED 156 754 246 947
TOTAL CASH FLOW FROM
INVESTING ACTIVITIES -10 454 334 -5 245 039


CASH FLOW FROM FINANCING
ACTIVITIES
LOAN REPAYMENTS -12 000 000 -96 200 000
LONG-TERM LOANS RECEIVED 0 60 000 000
LEASE PAYMENTS -681 964 -2 754 529
OTHER FINANCING
INCOME/EXPENSES -670 713 215 658

TOTAL CASH FLOW FROM
FINANCING ACTIVITIES -13 352 677 -38 738 871


CHANGE IN CASH AND
CASH EQUIVALENTS 6 982 116 3 535 931

CASH AND CASH EQUIVALENTS
AT THE BEGINNING OF THE YEAR 7 033 972 2 695 734
CHANGE 6 982 116 3 535 931
CHANGE IN FOREIGN
CURRENCY EXCHANGE RATE 10 077 802 307

CASH AND CASH EQUIVALENTS
AT THE END OF THE YEAR 14 026 165 7 033 972


(in euros)

2001 2000
CASH FLOW FROM OPERATING
ACTIVITIES EUR EUR
OPERATING PROFIT 2 269 404 1 513 318
DEPRECIATION OF PROPERTY,
PLANT AND EQUIPMENT 634 109 701 486
DEPRECIATION OF INTANGIBLE
ASSETS 1 598 0
PROFIT/LOSS FROM SALES
OF NON-CURRENT ASSETS -195 875 37 404
CHANGE IN RECEIVABLES -308 371 1 478 435
CHANGE IN INVENTORIES 75 654 420 781
CHANGE IN LIABILITIES -174 387 -610 957
INTERESTS PAID -334 354 -503 403
TOTAL CASH FLOW FROM
OPERATING ACTIVITIES 1 967 779 3 037 064


CASH FLOW FROM INVESTING
ACTIVITIES
PROCEEDS FROM SALES
OF SHARES 0 363 863
PROCEEDS FROM SALES
OF PROPERTY,PLANT AND EQUIPM. 433 749 102 879
PROPERTY, PLANT AND
EQUIPMENT ACQUIRED -1 092 746 -1 365 267
INTANGIBLE ASSETS ACQUIRED -19 173 0
FIXED ASSETS ACQUIRED
WITH LEASE 0 60 509
CASH FLOW FROM SUBSIDIARIES 0 463 061
CHANGE IN LOANS GIVEN 0 23 954
INTEREST RECEIVED 10 018 15 783
TOTAL CASH FLOW FROM
INVESTING ACTIVITIES -668 152 -335 218

CASH FLOW FROM FINANCING
ACTIVITIES
LOAN REPAYMENTS -766 938 -6 148 285
LONG-TERM LOANS RECEIVED 0 3 834 689
LEASE PAYMENTS -43 585 -176 046
OTHER FINANCING
INCOME/EXPENSES -42 866 13 783

TOTAL CASH FLOW FROM
FINANCING ACTIVITIES -853 389 -2 475 859


CHANGE IN CASH AND
CASH EQUIVALENTS 446 237 225 987

CASH AND CASH EQUIVALENTS
AT THE BEGINNING OF THE YEAR 449 552 172 288

CHANGE 446 237 225 987
CHANGE IN FOREIGN CURRENCY
EXCHANGE RATE 644 51 277

CASH AND CASH EQUIVALENTS
AT THE END OF THE YEAR 896 433 449 552


Ruth Roht
PR Manager
+372 6 283 858

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