Pēd. atjaunots: 04.07.2024 02:17 (GMT+3)

Eesti Telekom: Consolidated statement of cash flow 09/99

18.11.1999, Eesti Telekom, TLN
ESTONIAN TELECOM
CASH FLOW STATEMENT
01.01-30.09.99

EEK thous.
G R O U P ESTONIAN TELECOM
9 mths 9 mths 9 mths 9 mths
to 30 Sept 99 to 30 Sept 98 to 30 Sept 99 to 30 Sept 98
Cash flow from operating activities
Profit before tax and minority interest 684,959 597,507 491,919 258,238
Depreciation and amortisation 658,120 509,605 510 285
Expenses related to pension fund 13,756
Profit/loss from sales and write-off of fixed assets 237 400 -3
Profit from sales of shares -273 -6,117 -273 -7,198
Income from subsidiaries and associated companies -382 -505,003 -265,036
Interest income calculated -11,318 -13,465 -18,860 -17,837
Interests received 14,260 13,011 25,508 21,265
Interest expense calculated 28,316 39,085
Interests paid -32,735 -41,238
Income tax paid -138,456 -134,432 17,000 -22,125
Other non-cash adjustments 4,533 2,873
Change in working capital
Change in current receivables -142,047 -80,677 -5,543 -65
Change in inventories -15,071 4,050 -19 -18
Change in current liabilities (except bank loans) 80,603 81,352 -5,317 2,086
Net cash flow from operating activities 1,144,502 971,954 -81 -30,405

Cash flow from investing activities
Proceeds from sales of property, plant and equipment 1,929 1,562 48
Proceeds from sales of short-term investments 18,671 24,529 14,000 25,610
Dividends received 4,231 150,198 147,173
Cash receipts from loan repayment 174 538 315
Purchase of property, plant and equipment -701,948 -759,181 -2,502 -501
Acquisition of Esmofon Ltd., net of cash acquired -18,594
Purchase of shares -840 -840
Purchase of short-term investments -63,214 -9,533 -63,214
Purchase of licenses -13,170 -7,670
Net cash flow from investing activities -758,398 -764,118 97,690 172,597

Cash flow from financing activities
Repayment of nonconvertable long-term debt -5,860 -6,296
Proceeds from non-current borrowings 100,000
Repayment of long-term borrowings -82,684 -38,764
Proceeds from short-term borrowings, net 64,000 232,000
Repayment of short-term borrowings -184,000
Payment of finance lease liabilities -3,627 -8,905
Dividends paid to minority shareholders -144,307 -137,408
Dividends paid -62,757 -57,326 -62,757 -57,326
Minority's contribution into share capital 320
Net cash flow from financing activities -235,235 -100,379 -62,757 -57,326

Net increase / - decrease in cash and cash equivalents 150,869 107,457 34,852 84,866

Cash and cash equivalents at 01.01 272,022 221,824 118,244 41,680
Cash and cash equivalents at 30.09 422,891 329,281 153,096 126,546

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