Pēd. atjaunots: 23.11.2024 21:41 (GMT+2)

Merko Ehitus: pro forma financial results 06/99

05.08.1999, Järvevana, TLN
AS MERKO EHITUS
ANNOUNCEMENT
05.08.99

CONSOLIDATED FINANCIAL RESULTS OF MERKO EHITUS AFTER DISPOSAL OF
100% SHAREHOLDING IN E.L.L. KINNISVARA (AS OF 30.06.1999)

As of 30.06.1999, the value of E.L.L. Kinnisvara on AS Merko Ehitus balance sheet
amounted to 77 531 thousand EEK. Upon exercising of the call options, the company
will receive 19 999 thousand EEK, which will be reflected on the accounting balance
sheet under "other current receivables".

Net sales on the accounting income statement increase to the level of 22 297 thousand
EEK, which is equal to E.L.L. Kinnisvara intra-group turnover 28 784 thousand EEK less
E.L.L. Kinnisvara off-group turnover 6 487 thousand EEK. Both pre-tax profit as well
as net profit decrease by 57 526 thousand EEK on the accounting income statement due
to elimination of revenues and expenses of E.L.L. Kinnisvara, elimination of E.L.L.
Kinnisvara from the account of long-term financial investments and earlier eliminated
balance of intra-group profits-losses.

After elimination of the results of E.L.L. Kinnisvara, the sum of retained earnings
and net profit for the year totals 4 661 thousand EEK.

After elimination of the results of E.L.L. Kinnisvara, the volume of owners’ equity
amounts to 101 788 thousand EEK, balance sheet size is 221 138 thousand EEK, current
assets total 175 838 thousand EEK and current liabilities 107 705 thousand EEK. Level
of owners’ equity stands at 46% and current ratio at 1.6



BALANCE SHEET
30.06.1999
Consolidated, unaudited
in thousand EEK

Accounting Actual
30.06.1999 30.06.1999

Cash and bank 10 256 19 999

Marketable securities 15 125 15 650

Accounts receivable 85 340 82 722
Allowance for doubtful accounts -30 -30
Total accounts receivable 85 310 82 692
Receivables from affiliated enterprises 1 152 1 284
Other current receivables 42 404 22 461
Total other receivables 43 556 23 745

Interests received 326 334
Other accrued income 3 320 3 320
Total accrued income 3 646 3 654

Prepaid/refundable tax receivables 7 293 7 330
Other prepaid expenses 3 473 3 712
Total prepaid expenses 10 766 11 042

Raw materials 2 691 2 691
Work-in-progress
Finished goods 53 24 176
Merchandise purchased for resale 3 758 3 810
Customer prepayments 677 677
Total inventories 7 179 31 354
TOTAL CURRENT ASSETS 175 838 188 136

Shares in affiliated enterprises 8 968 14 144
Other shares, units and bonds 115 1 565
Other non-current receivables 4 750 26 536
Total financial assets 13 833 42 245

Land and buildings 22 877 85 809
Building rights 1 603 7 787
Plant and equipment 11 297 11 296
Other equipment and fixtures 8 535 8 890
Accumulated depreciation -14 327 -16 326
Unfinished building 44 1 303
Prepayments for fixed assets 8
Total tangible assets 30 029 98 767

Development costs 3 3
Goodwill 1 435 1 435
Total intangible assets 1 438 1 438

TOTAL NON-CURRENT ASSETS 45 300 142 450

TOTAL ASSETS 221 138 330 586


Debentures (except bank loans) 2 129 2 129
Current period repayments of long-term bank loans 1 725
Short-term loans from financial institutions 1 366 1 366
Total borrowings 3 495 5 220

Customer prepayments 14 675 30 836
Supplier payables 45 746 46 166

Payables to subsidiaries and parent 4 896 4 896
Payables to affiliated enterprises 3 516 3 516
Total other payables 8 412 8 412

Tax liabilities 6 469 6 595

Salary-related expenses 5 145 5 254
Interest payable 352 352
Other accrued expenses 831 831
Total accrued expenses 6 328 6 437

Short-term provisions 2 296 2 296
Other prepaid revenues 20 284 20 284
TOTAL CURRENT LIABILITIES 107 705 126 246

Non-convertible borrowings 8 069 8 068
Bank loans 32 544
Total long-term borrowings 8 069 40 612

Due to subsidiaries and parent 42 42
Other long-term provisions 1 181 2 012
TOTAL NON-CURRENT LIABILITIES 9 292 42 666

Share capital 88 500 88 500
Capital surplus 2 950 2 950
Mandatory reserve capital 4 875 4 875
Retained earnings 49 305 49 305
Net profit for the year -44 644 12 882
Exchange differences 802 809
TOTAL OWNERS' EQUITY 101 788 159 321

MINORITY INTEREST 2 353 2 353

TOTAL LIABILITIES AND OWNERS' EQUITY 221 138 330 586





INCOME STATEMENT
01.01.99-30.06.99
Consolidated, unaudited
in thousand EEK

Accounting Actual
H1 1999 H1 1999
Net sales 364 545 342 248
Change in work-in-progress inventories -47 17 888
Capitalized self-constructed assets 72
Other revenue 4 568 4 568
TOTAL REVENUES 369 066 364 776
Raw materials, goods and services 268 361 268 568
Other operating expenses 36 889 39 640
Personnel expenses 21 765 22 303
incl. salary-related expenses 16 368 16 773
social taxes 5 397 5 530
Depreciation and value adjustments on non-current assets 3 430 4 463
Other expenses 7 057 7 058
TOTAL EXPENSES 337 502 342 032
OPERATING PROFIT 31 564 22 744
Income from subsidiaries
Income from affiliated enterprises 2 263 2 263
Financial revenues from other long-term financial investments
Foreign exchange gain 518 518
Other interest and financial income 2 545 2 581
TOTAL FINANCIAL INCOME 5 326 5 362
Financial expenses related to subsidiaries 68 844
Financial expenses related to affiliated enterprises 405 1 647
Interest expenses 1 540 2 828
Foreign exchange loss 49 53
Other financial expenses 105 105
TOTAL FINANCIAL EXPENSES 70 943 4 633
PROFIT FROM NORMAL OPERATIONS -34 053 23 473
Extraordinary expenses

Profit before income tax -34 053 23 473
Income tax 10 919 10 919
Deferred income tax -299 -299
NET PROFIT FOR THE YEAR -44 673 12 853
incl. minority interest -29 -29
NET PROFIT FOR THE GROUP -44 644 12 882


INCOME STATEMENT (TO OPERATING PROFIT)

Net sales 364 545 342 248
Cost of goods sold 312 783 298 370
GROSS PROFIT 51 762 43 878
Marketing expenses 4 264 4 680
Administrative expenses 13 537 14 056
Other revenue 4 568 4 568
Other expenses 6 965 6 966
OPERATING PROFIT 31 564 22 744


Ülo Metsaots
Financial Director, Member of the Management Board
+372 6 105 110

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