Pēd. atjaunots: 26.11.2024 08:10 (GMT+2)
NORMA
CASH FLOW STATEMENT
CONSOLIDATED CASH FLOW 09/00
(EEK 000'), unaudited
30.09.2000 30.09.1999
Operating Activities
Operating Profit 126 251 118 992
Profit from Sale of Property, Plant and Equipment -2 743 -91
Depreciation 24 892 25 392
Property, Plant and Equipment Write-off 687 790
Increase (-), Decrease (+) in Current Assets 25 509 30 915
Increase (+), Decrease (-) in Current Liabilities 1 909 4 507
Interest Received and Other Financial Income 3 984 3 666
Taxes Paid -8 959 -23 096
Interest and Other Financial Expenses Paid -1 753 -3 650
169 166 156 714
Investing Activities
Property, Plant and Equipment Sold 12 033 1 049
Property, Plant and Equipment Acquired -23 087 -9 847
Loans Issued -96 -163
Associated Companies Sold 2 000 0
Loans Repaid 1 012 1 515
-8 138 -7 446
Financing Activities
Loans Repaid -13 336 -13 714
Dividends Paid -39 600 -39 600
-52 936 -53 314
Net Cash Flow 108 092 95 954
Movement in Cash and Cash Equivalents
Cash and Cash Equivalents at the Beginning of the Year: 149 335 67 041
Net Cash Flow 108 092 95 954
Foreign Exchange Gain 1 343 4 205
Cash and Cash Equivalents at the End of Year: 258 769 167 200
incl. Cash and Bank Accounts 155 228 167 006
Marketable Securities 103 541 194
Peep Siimon
Chairman of the Board
+372-6500-442