Pēd. atjaunots: 26.11.2024 01:33 (GMT+2)

Tallinna Kaubamaja: Consolidated cash flow statement 01.01.-30.06.00

04.08.2000, TKM Grupp, TLN
TALLINNA KAUBAMAJA
CASH FLOW STATEMENT

CONSOLIDATED CASH FLOW STATEMENT 01.01.-30.06.00

Unaudited
in EEK thousand

H1 2000 1999
1. Operating activities
Net profit 16,601 34,305
Depreciation of fixed assets 23,258 38,118
Profit/loss from sale and liquidation
of fixed assets -200 1,148
Effect of equity method 334 1,397
Sale of long-term financial assets
and value adjustments -1,602 -3,014
Exchange differences in borrowings 0 -57
Adjustments to changes in receivables
and inventories -24,738 1,484
Adjustments to changes in liabilities -35,880 2,538
Net cash from operating activities -22,227 75,918

Investing activities
Sale of short-term financial assets 2,482 0
Loans to associated companies -400 0
Other loans granted -7,409 -3,993
Purchase and renovation of tangible
fixed assets (except finance lease) -58,621 -14,903
Proceeds from sale of fixed assets 332 806
Dividend income 54 0
Net cash used in investing activities -63,563 -18,090

Financing activities
Change in credit line balance 9,576 0
Proceeds from borrowings 132,514 28,000
Repayment of borrowings -38,741 -64,677
Finance lease payments -2,103 -6,400
Dividends paid -6,788 -10,182
Interest paid 532 704
Net cash used in financing activities 94,991 -53,259

Total cash flow 9,201 4,569

Exchange differences 0 4

Cash and bank at 01.01. 27,310 22,737
Cash and bank at 30.06. 36,511 27,310
Change: 9,201 4,573


Urmo Vallner
Management Board member
+372 64 00 200

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