Pēd. atjaunots: 25.11.2024 01:25 (GMT+2)

Estiko: Group cash flow statement 01.01.-31.12.1999

22.03.2000, Estiko, TLN
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

Vērtspapīri

Akcijas
Obligācijas
Ieguldījumu Fondi

Tirgus informācija

Statistika
Tirdzniecība
Indeksi
Izsoles

Noteikumi

Biržas noteikumi
Uzraudzība

Nāc uz Biržu

Uzņēmumiem
Investoriem
Biržas biedriem
First North konsultantiem

Aktualitātes

Nasdaq ziņas
Emitentu ziņas
Kalendārs

Par mums

Nasdaq Baltijas tirgus
Biroji