Pēd. atjaunots: 25.11.2024 14:02 (GMT+2)

Eesti Telekom: audited consolidated cash flow statement 1999

25.05.2000, Eesti Telekom, TLN
EESTI TELEKOM
CASH FLOW STATEMENT

AUDITED CONSOLIDATED CASH FLOW STATEMENT 1999

IAS, audited
EEK thous.
G R O U P Parent Company
1999 1998 1999 1998
Cash flow from operating
activities
Profit before tax and minority 904,883 746,842 580,262 319,930
interest
Adjustments for:
Depreciation 881,059 723,643 676 383
Pension expenses 10,343 0 0 0
Profit(-)/Loss(+) from sales 2,725 3,458 36 6
and write-off of fixed assets
Profit from sales of 0 -6,117 0 -7,198
investments
Income from subsidiaries and -648 -448 -592,829 -332,400
associated companies
Interests (income- 19,805 36,097 -25,388 -24,834
/expens+)(net)
Other non-cash adjustments 4,864 -4,820 0 -60
Operating profit before working 1,823,031 1,498,655 -37,243 -44,173
capital changes

Change in current receivables -121,455 -109,872 -270 -10
Change in inventories -33,901 293 -16 231
Change in current liabilities 78,492 155,226 -5,502 5,570
(except loans)
Adjusted cash generated from 1,746,167 1,544,302 -43,031 -38,382
operations

Interest paid -39,394 -55,331 0 0
Income tax paid -158,784 -153,287 17,000 -22,125
Net cash flow from operating 1,547,989 1,335,684 -26,031 -60,507
activities

Cash flow from investing
activities
Purchase of property, plant and -981,152 -1,008,125 -3,168 -578
equipment
Purchase of licenses -31,782 -20,097 0 0
Acquisition of a subsidiary -11,502 -18,594 0 0
Purchase of investments -65,868 -4,671 -65,729 0
Long-term deposit 0 -150 0 0
Proceeds from sales of 2,853 2,517 48 0
property, palnt and equipment
Proceeds from sales of 70,262 23,822 65,449 25,610
investments
Cash receipts from loan 753 436 0 315
repayment
Dividends received 240 4,291 150,198 147,233
Interest received 21,032 16,607 29,349 21,816
Net cash flow from investing -995,164 -1,003,964 176,147 194,396
activities

Cash flow from financing
activities
Repayment of nonconvertable -7,383 -8,382 0 0
long-term debt
Proceeds from long-term 0 100,000 0 0
borrowings
Repayment of long-term -119,505 -114,695 0 0
borrowings
Payment of finance lease -5,577 -16,032 0 0
liabilities
Proceeds from short-term 56,000 232,000 0 0
borrowings
Repayment of short-term -56,000 -280,000 0 0
borrowings
Proceeds from issuance of share 0 1 0 1
capital
Minority contributions for 0 320 0 0
shares
Dividends paid -62,757 -57,326 -62,757 -57,326
Dividends paid to minority -144,307 -137,408 0 0
shareholders
Net cash flow from financing -339,529 -281,522 -62,757 -57,325
activities

Net increase / - decrease in 213,296 50,198 87,359 76,564
cash and cash equivalents

Cash and cash equivalents at 272,022 221,824 118,244 41,680
beginning of year
Cash and cash equivalents at 485,318 272,022 205,603 118,244
end of year


Raul Kalev
PR-manager
6460 220

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