Pēd. atjaunots: 01.07.2024 12:05 (GMT+3)

Farmaatsiatehas: Audited cash flow statement 12/98

16.04.1999, Tallinna Farmaatsiatehas, TLN
TALLINNA FARMAATSIATEHASE AS
CASH FLOW STATEMENT
01.01-31.12.98

Consolidated, audited
group group parent parent
1998 1997 1998 1997
Cash flow from operating activities

Profit before income tax -80,650,775 45,653,411 -79,512,787 48,841,178
Depreciation 8,436,457 6,359,890 8,267,944 5,970,946
Amortization of intangible assets 947,098 265,448 947,098 265,448
Profit (-) from sales of fixed assets 35,695 6,226 35,695 -1,596
Change in accounts receivable 52,550,300 -26,640,631 52,951,673 -28,839,273
Change in inventories 9,086,865 -17,782,533 9,147,078 -17,770,630
Change in liabilities 7,303,890 1,042,860 6,922,429 941,480
Income tax paid -2,862,075 -9,968,414 -2,862,075 -9,968,414
Interests paid -5,666,321 -5,906,774 -5,303,824 -5,501,900

Net cash flow from operating activities -10,818,867 -6,970,517 -9,406,770 -6,062,761

Cash flow from investing activities

Purchase of subsidiary and affiliated company 0 -4,155,261 0 -5,534,004
Proceeds from sale of fixed assets 549,993 543,310 549,993 534,776
Purchase of fixed assets -10,333,630 -12,009,690 -10,333,630 -11,621,453
incl. purchased on financial lease contract 4,152,162 8,043,374 4,152,162 8,043,374
Reconstruction expenses 0 -1,840,217 0 -1,568,518
Unfinished building -2,647,274 -2,647,274
Change in prepayments for fixed assets 1,475,342 -646,537 1,475,342 -646,537
Purchase of intangible assets -1,199,160 -3,921,517 -1,199,160 -3,892,934
change in loans issued -1,603,043 115,320 -1,023,429 -551,968
Interests received 708,773 241,227 467,683 239,266

Net cash flow from investing activities -8,897,836 -13,629,991 -8,558,313 -14,997,998


Cash flow from investing activities

Repayment of borrowings -19,857,513 -22,412,437 -17,535,451 -21,990,437
Repayment of short-term borrowings 39,753,599 15,168,630 35,753,451 15,130,178
Repayment of long-term borrowings 0 42,000,000 0 42,000,000
Dividends paid 0 -5,655,052 0 -5,655,052
Lease payments -3,518,572 -3,225,909 -3,518,572 -3,225,909

Net cash flow from investing activities 16,377,514 25,875,232 14,699,428 26,258,780

Net change in cash -3,339,189 5,274,724 -3,265,524 5,198,021

Change in cash and cash equivalents
Cash and cash equivalents at beginning
of year 5,686,611 387,330 5,609,908 387,330
Increase -3,339,189 5,274,724 -3,265,524 5,198,021
Exchange differences 414,632 -24,557 414,632 -24,557
Cash and cash equivalents at the end of year 1,932,791 5,686,611 1,929,753 5,609,908

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