Pēd. atjaunots: 25.11.2024 01:25 (GMT+2)
ESTIKO
CASH FLOW STATEMENT
GROUP CASH FLOW STATEMENT 01.01.-31.12.1999
Consolidated, in thousand EEK
1999 1998
I Operating activities
Operating profit 7,330 6,792
Accumulated depreciation 10,856 13,041
Loss from sale of fixed assets 49
Profit from sale of fixed assets -2,221
Profit from sale of investments -18
Loss from sale of investments 335
Adjustments to changes in receivables and assets 16,603 6,465
Adjustments to changes in liabilities -23,910 -7,193
Net cash flow from operating activities 9,024 19,105
II Investing activities
Purchase of fixed assets -5,413 -56,357
Prepayments for fixed assets -4,562
Proceeds from sale of fixed assets 7,074
Acquisition of investments -1,208
Sale of investments 3,020
Repayment of loans 411
Net cash used in investing activities -678 -56,357
III Financing activities
Proceeds from borrowings 16,940 37,573
Repayment of borrowings -23,571
Dividends paid -2,995
Change in treasury shares -1,539
Finance lease payments -4,540
Net cash used in financing activities -11,171 33,039
Net cash flow -2,825 -4,213
Cash and cash equivalents at beginning of period 3,875 8,088
Cash and cash equivalents at end of period 1,050 3,875
Net change in cash -2,825 -4,213
Mart Raik
Chairman of the Management Board
Tel. +372 74 70 724