Pēd. atjaunots: 06.07.2024 12:08 (GMT+3)

Rakvere Lihakombinaat: consolidated cash flow statement 1999

24.03.2000, Rakvere Lihakombinaat, TLN
RAKVERE LIHAKOMBINAAT
CASH FLOW STATEMENT

CONSOLIDATED CASH FLOW STATEMENT 1999

Thousand Estonian kroons 1999 1998

Operating cashflow
Operating profit 28 756 -22 993
Depreciation 57 636 71 963
Profit (loss) from sales of fixed assets -1 811 233
Exchange rate differences 5 305 2 396
Change in short-term receivables -2 794 172
Change in inventories 468 10 400
Change in liabilities -5 774 -12 087
Interests paid -21 710 -29 436
Extraordinary loss -64
Total operating cash flow 60 076 20 584

Cash flow from investments
Purchases of fixed assets -43 619 -55 321
incl. capital lease 601 23 974
Purchase of intangible assets -2 874 -1 710
Proceeds from sales of fixed assets 12 770 11 152
Loan received 1 800 37 392
Interests received 1 687 5 933
Loans given -2 592 -38 750
Sale of subsidiary 117
Purchased shares of subsidiary -50
Total cash flow from investing activities -32 160 -17 330

Cash flow from financing
Paid lease principals -13 778 -14 638
Loans received 188 158 41 104
Issued securities -478
Paid loans -200 924 -24 665
Purchase of convertible bonds -1 405 -5
Total cash flow from financing -27 949 1 318


Change in cash and cash equivalents -33 4 572

Cash at the beginning of the year 10 185 5 613
Cash at the end of the year 10 152 10 185


Andrit Heidov
Communication manager
232 29 211

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