Pēd. atjaunots: 06.07.2024 14:07 (GMT+3)

Rakvere Lihakombinaat: Consolidated cash flow statement, Q1 2000

30.06.2000, Rakvere Lihakombinaat, TLN
RAKVERE LIHAKOMBINAAT
CASH FLOW STATEMENT

CONSOLIDATED CASH FLOW STATEMENT, Q1 2000

Consolidated, unaudited
in thousand EEK
Q1 2000 Q1 1999

Cash flow from operating activities
Revenue 4,710 -26
Exchange differences 6,383 -2,799
Change in short-term receivables -3,254 2,921
Change in inventories -2,683 7,382
Change in current liabilities 2,342 -72,392
Interests paid -3,301 -6,579
Total cash flow from investing activities 4,197 -71,493


Cash flow from investing activities
Change in tangible fixed assets -8,271 15,580
Change in intangible assets 284 46
Change in long-term investing activities -696 139
Interests received 108 2,470
Total cash flow from investing activities -8,575 18,235


Cash flow from financing activities
Cange in long-term borrowings and finance lease liabilities -45 51,006

Total cash flow from financing activities -45 51,006


Change in cash and cash equivalents -4,423 -2,252

Cash and cash equivalents at the beginnind of the period 10,152 10,185
Cash and cash equivalents at the end of the period 5,729 7,933


Andrit Heidov
Information Manager
+372 32 29 211

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