Pēd. atjaunots: 26.11.2024 16:11 (GMT+2)
NORMA
CASH FLOW STATEMENT
CONSOLIDATED CASH FLOW STATEMENT Y2000
TEEK in thousands, unaudited
Operating Activities 31.12.00 31.12.99
Operating Profit 152 354 121 580
Profit from Sale of Property, Plant and Equipment -8 549 -449
Depreciation 30 163 27 721
Property, Plant and Equipment Write-off 1 619 127
Property, Plant and Equipment Discount 638 7 194
Increase (-), Decrease (+) in Current Assets -1 213 28 141
Increase (+), Decrease (-) in Current Liabilities 24 235 2 794
Interest Received and Other Financial Income 7 518 4 539
Interest Paid -3 562 -4 695
Other Financial Expenses Paid -144 -760
Taxes Paid -8 959 -16 745
194 101 169 447
Investing Activities
Property, Plant and Equipment Sold 18 847 1 566
Property, Plant and Equipment Acquired -48 133 -28 586
Loans Issued -78 356 -230
Associated Companies Sold 2 000 0
Loans Repaid 1 284 1 911
-104 358 -25 339
Financing Activities
Loans Repaid -53 328 -27 517
Dividends Paid -39 600 -39 600
-92 928 -67 117
Net Cash Flow -3 185 76 991
Movement in Cash and Cash Equivalents
Cash and Cash Equivalents at the Beginning of the Year: 149 335 67 041
Net Cash Flow -3 185 76 991
Foreign Exchange Gain 787 5 303
Cash and Cash Equivalents at the End of Year: 146 937 149 335
incl. Cash and Bank Accounts 58 637 91 192
Marketable Securities 88 300 58 143
Peep Siimon
Chairman of the Board
+372-6500-442