Pēd. atjaunots: 25.11.2024 11:20 (GMT+2)
KLEMENTI
CASH FLOW STATEMENT
CONSOLIDATED CASH FLOW STATEMENT, Q1 2000
Consolidated, unaudited
EEK thousand
Consolid. AS Klementi
31.03.00 31.03.00
Operating activities
Adjustments for operating profit
Operating profit -2,082 -2,110
Depreciation of fixed assets 922 863
Depreciation of intangible assets 223 197
Profit from sale of fixed assets -72 -72
Loss from write-off of fixed assets 2 2
Realized profit from write-off of fixed assets-36 0
Loss from long-term investments 541 320
Interest calculated -537 541
Interest paid -537
Total -1,039 -796
Adjustments to changes in working capital
Change in current assets -3,299 -2,692
Change in current liabilities 290 -892
Total -3,009 -3,584
Net cash from operating activities -4,048 -4,380
Investing activities
Purchase of tangible fixed assets -4,781 -4,667
incl. finance lease 5,485 5,485
Purchase of intangible fixed assets -930 -930
Proceeds from sale of fixed assets 1,000 1,000
Reconstruction of fixed assets -300 -300
Net cash used in investing activities 474 588
Financing activities
Repayment of borrowings -3,390 -3,190
Proceeds from borrowings 7,114 7,114
Finance lease payments -1,036 -1,036
Net cash used in financing activities 2,688 2,888
Net cash flow -886 -904
Cash and cash equivalents at
beginning of period 4,458 3,820
Cash and cash equivalents at
end of period 3,572 2,916
Tiiu Tammots
Chief accountant
+372 6 710 708