Pēd. atjaunots: 24.11.2024 18:43 (GMT+2)
REVAL HOTELLIGRUPP
BALANCE SHEET
CONSOLIDATED BALANCE SHEET 31.12.99
Consolidated, unaudited,
in thousand EEK
31.12.99 31.12.98
ASSETS
Current assets
Cash and cash equivalents 28 727 21 474
Customer receivables 9 465 6 525
Other receivables 1 082 2 568
Accrued income 160 1 634
Prepaid revenue 9 009 1 355
Inventories 3 711 3 891
Total current assets 52 155 37 448
Non-current assets
Long-term financial assets 17 082 21 967
Tangible assets 270 018 276 183
Intangible assets 15 620 7 111
Prepayments for fixed assets 865 0
Total non-current assets 303 585 305 261
Deferred income tax asset 0 482
TOTAL ASSETS 355 740 343 191
LIABILITIES AND OWNERS EQUITY
Current liabilities
Current period share of non-current liabilities 20 000 45 897
Customer prepayments 402 531
Supplier payables 8 777 6 179
Other payables 7 577
Tax liabilities 11 069 13 184
Accrued expenses 9 426 7 030
Total current liabilities 49 681 73 398
Non-current liabilities
Long-term debt obligations 135 860 148 602
Deferred income tax liability 0 5 840
Total non-current liabilities 135 860 154 442
OWNERS EQUITY
Share capital 48 143 40 884
Capital surplus 28 907 12 032
Mandatory legal reserve 2 552 1 363
Retained earnings 59 883 37 298
Net profit for the year 30 713 23 775
TOTAL OWNERS EQUITY 170 198 115 351
TOTAL LIABILITIES AND OWNERS EQUITY 355 740 343 191
Katrin Rasmann
Financial Director
+372 62 74 444