Pēd. atjaunots: 02.07.2024 12:06 (GMT+3)

Eesti Telekom: Consolidated cash flow statement 03/99

24.05.1999, Eesti Telekom, TLN
AS EESTI TELEKOM
CASH FLOW STATEMENT
01.01-31.03.99

IAS, consolidated, unaudited

EEK thous.

G R O U P ESTONIAN TELECOM

3M 99 3M 98 3M 99 3M 98
Cash flow from operating activities
Profit before tax and minority interest 175,939 187,949 63,768 81,391
Depreciation and amortisation 213,215 144,164 133 94
Profit/loss from sales and write-off of -203 452 0 0
fixed assets
Income from subsidiaries and associated -146 0 -84,434 -81,745
companies
Interests received 5,654 2,889 19,196 15,630
Interest expense calculated 12,000 12,615 0 0
Interests paid -15,679 -12,943 0 0
Income tax paid -19,937 -10,500 0 -992
Other non-cash adjustments 2,118 3,637 0 0
Change in working capital
Change in current receivables -85,970 -99,097 -499 -57
Change in inventories -10,742 -17,837 -24 -45
Change in current liabilities 62,037 72,405 -3,166 -512
(except bank loans)
Total cash flow from operating activities 338,286 283,734 -5,026 13,764

Cash flow from investing activities
Proceeds from sales of property, plant and 418 379 0 0
equipment
Proceeds from sales of short-term 11,671 0 7,000 0
investments
Dividends received 0 4,171 0 4,156
Cash receipts from loan repayment 32 119 0 0
Purchase of property, plant and equipment -189,727 -177,392 -1,384 -68
Acquisition of Esmofon Ltd., net of cash 0 -13,594 0 0
acquired
Purchase of investment -120 0 -120 0
Purchase of short-term investments -55,807 0 -55,807 0
Purchase of licenses -1,054 -2,144 0 0
Total cash flow from investing activities -234,587 -188,461 -50,311 4,088

Cash flow from financing activities
Repayment of nonconvertable long-term debt -2,150 -2,065 0 0
Repayment of long-term borrowings -17,440 -5,000 0 0
Payment of finance lease liabilities -940 -3,836 0 0
Total cash flow from financing activities -20,530 -10,901 0 0

Net increase / - decrease in cash and cash 83,169 84,372 -55,337 17,852
equivalents
Cash and cash equivalents at beginning of 272,022 221,824 118,244 41,682
year
Cash and cash equivalents at end of year 350,413 302,386 56,202 54,620

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