Pēd. atjaunots: 23.11.2024 01:22 (GMT+2)
OPTIVA PANK
CASH FLOW STATEMENT
01.01-31.12.98
Audited, consolidated
Ths. EEK
BANK GROUP
1998 1997 1998 1997
Cash flows from operating activities
Profit (loss) for the financial year -264,974 74,862 -253,167 63,057
Interest receipts 200,712 136,693 202,570 141,677
Interest payments -75,437 -44,677 -77,867 -45,618
Net change in loans 147,587 -631,566 108,505 -734,763
Net change in deposits -525,727 463,168 -525,665 553,573
Adjustments
Adjustments of expenses related to tangible assets 14,947 15,311 29,845 25,871
Assets revaluation 77,279 28,813 75,327 22,463
Net change in other assets -1,326,251 -298,576 -1,313,136 -299,709
Net change in other liabilities 1,323,542 173,846 1,326,894 186,366
Cash flows from income tax -13,688 -11,238 -14,568 -11,525
Net change in loan provisions 165,647 10,782 168,685 18,297
Total cash flows from operating activities -276,363 -82,582 -272,577 -80,311
Cash flows from investing activities
Deposits with other banks 76,538 147,838 76,538 147,838
Purchases/sales of marketable securities 152,327 -113,658 129,862 -130,108
Purchases of bonds -82,733 -87,228 -33,488 -48,366
Purchases of other investments -65,402 -129,753 -85,550 -2,875
Purchases/sales of tangible and intangible assets -3,670 -8,911 -27,651 -155,633
Total cash flows from investing activities 77,060 -191,712 59,711 -189,144
Cash flows from financing activities
Loans from banks -121,572 276,677 -121,572 276,677
Debt certificates issued -36,543 34,043 -33,043 31,543
Subordinated debts 0 64,000 0 64,000
Cash proceeds from issuance of shares 177,948 0 177,948 0
Change in own shares 0 0 5,029 3,044
Total cash flows from financing activities 19,833 374,720 28,362 375,264
Net increase in cash and cash equivalents -179,470 100,426 -184,504 105,809
Cash and cash equivalents at beginning of year1 584,652 484,226 590,225 484,416
Cash and cash equivalents at end of year1 405,182 584,652 405,721 590,225
1Cash on hand and demand deposits with other banks: Notes 3-5.