Pēd. atjaunots: 02.07.2024 01:56 (GMT+3)

Hüvitusfond: Audited cash flow statement 06/98

08.01.1999, Hüvitusfond, TLN
HÜVITUSFOND
CASH FLOW STATEMENT
01.01-30.06.98

Audited,
in thousand EEK

1998 I half 1997 I half
Cash flow from operating activities
Cash generated from operations -184,442 132,241
Corrections:
Allowance for doubtful accounts 22,992 10,980
Unrealized loss from current investments 193,967 1,758
Accumulated depreciation 863 3,467
Profit/loss from application of equity method 14,823 1,161
Accounting interest income -75,914 -125,112
Accounting interest expenses 32,346 61,757
Profit/loss from sale of non-current assets 17 171

Acquisition of marketable securities -193,465 -1,361,629
Disposal of marketable securities 178,463 1,096,522
Interests paid -13,350 -28,550
Interests paid to bondholders -23,019 -28,938
Interests received 71,897 122,136
Change in prepaid expenses 10,558 -10,742
Change in other receivables -51,497 -246,089
Change in other liabilities -3,390 4,309
Change in supplier payables -1,687 2,306
Total cash flows from operating activities -20,838 -364,252

Cash flows from investing activities
Acquisition of non-current assets -874 -1,278
Disposal of non-current assets 26 511
Acquisition of shares in associated companies -16,660 -33,491
Disposal of shares in associated companies 4 743 0
Change in other non-current investments -28,768 -114,093
Dividends received 5,717 1,285
Total cash flows from investing activities -35,816 -147,066

Cash flows from financing activities
Proceeds from long-term borrowings 631,302 1,212,937
Repayment of long-term borrowings -721,211 -917,802
Revenues from privatization 72,135 268,889
Total cash flows from financing activities -17,773 564,024

Total cash flows -74,427 52,706
Cash and cash equivalents at beginning of period 117,547 64,841
Cash and cash equivalents at the end of period 43,120 117,547
Change in cash and cash equivalents -74,427 52,706

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