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Eesti Telekom: Eesti Mobiiltelefon cash flow statement 09/99

18.11.1999, Eesti Telekom, TLN
EESTI TELEKOM
ANNOUNCEMENT
18.11.99

ESTONIAN MOBILE TELEPHONE COMPANY
CASH FLOW STATEMENT 09/99

EEK thous.

Group Parent Company
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 income tax 444,610 364,449 441,960 362,739
Depreciation 167,608 123,855 165,974 122,797
Profit (-) from sales and 0 -4 0 0
write-off of fixed assets
Profit (-) from affiliated companies 0 0 -7,419 -5,244
under the equity method
Income tax paid -115,859 -82,552 -112,438 -81,042
Interest income -2,753 -4,715 -2,593 -4,621
Interest expense 1,137 4,704 1,118 4,704
Change in short-term receivables -18,232 -34,327 -10,693 -38,917
Change in inventories 8,512 3,790 9,090 9,048
Change in current -11,890 25,270 -24,787 28,612
liabilities (excl. bank loans)
Foreign exchange gains and 10 99 10 99
other non-cash adjustments
Net cash flow from operating activities 473,142 400,568 460,222 398,175

Cash flow from investing activities
Proceeds from sale financial investments 97 2,513 97 88
Proceeds from sale of fixed assets 33 24 0 0
Interest received 2,740 4,717 2,593 4,621
Purchase of a subsidiary 0 -22,500 0 -22,500
Capital expenditure -212,135 -265,448 -209,623 -262,607
Net cash flow from investing activities -209,265 -280,695 -206,933 -280,398

Cash flow from financing activities
Proceeds from short-term borrowings 56,000 232,750 56,000 232,000
Repayment of short-term borrowings 0 -184,600 0 -184,000
Interest paid -214 -4,651 -209 -4,651
Proceeds from nonconvertible long-term debt 13,756 0 13,756 0
Repayment of borrowings -3,557 -8,696 -3,557 -8,696
Dividends paid -185,000 -172,000 -185,000 -172,000
Dividends received 0 0 3,460 0
Proceeds from minority 0 320 0 0
shareholders for shares
Net cash flow from financing activities -119,015 -136,877 -115,550 -137,347

Net increase/ - decrease in 144,861 -17,003 137,740 -19,570
cash and cash equivalents

Cash and cash equivalents at 86,957 121,725 79,895 121,543
beginning of period
Cash and cash equivalents at 231,819 104,722 217,635 101,973
the end of the period

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