Pēd. atjaunots: 21.07.2024 17:11 (GMT+3)

Eesti Telekom: Consolidated cash flow statement 2000

05.03.2001, Eesti Telekom, TLN
EESTI TELEKOM
CASH FLOW STATEMENT

CONSOLIDATED CASH FLOW STATEMENT 2000

Estonian Telecom Limited and Subsidiary Companies
Cash flow statements for the year ended 31 December 2000
In thousands of kroons (EEK)
G R O U P
2000 1999
Cash flow from
operating activities
Profit before taxation 1,096,575 904,883
and minority interest
Adjustments for:
Depreciation and 969,305 881,059
amortisation
Increase in employee - 10,343
benefits
Profit / loss from (3,704) 2,725
sales and write-off of
fixed assets
Income from subsidiaries 310 (648)
and associated companies
Interest income / 280 19,805
expense net
Other non-cash (684) 4,864
adjustments
Operating profit 2,062,082 1,823,031
before working capital changes
Change in current (330) (121,455)
receivables
Change in inventories (7,567) (33,901)
Change in current 190,147 78,492
liabilities
Cash generated from 2,244,332 1,746,167
operations
Interest paid (22,219) (39,394)
Income tax paid - / (50,718) (158,784)
received (+)
Net cash from 2,171,395 1,547,989
operating activities

Cash flow used in
investing activities
Purchase of property, (1,206,949) (981,152)
plant and equipment
Purchase of licenses (31,842) (31,782)
Acquisition of (12,000) (11,502)
subsidiaries, net of
cash acquired
Acquisition of (17,409) -
associated companies
Purchase of investments, (108,024) (65,868)
shares and other
Proceeds from sales of 10,686 2,853
property, plant and
equipment
Proceeds from sales of 99,840 70,262
investments
Loans granted (91) -
Cash receipts from 210 -
repayment of loans
Cash receipts from - 753
settlement of long-
term receivables
Dividends received 7 240
Interest received 22,198 21,032
Net cash used in (1,243,374) (995,164)
investing activities

Cash flow used in
financing activities
Issuance of unsecured 94,251 -
short-term bonds
Repayment of non- (6,971) (7,383)
convertible long-term
debt
Repayment of long-term (334,989) (119,505)
borrowings
Settlement of finance (6,024) (5,577)
lease liabilities
Proceeds from short- - 56,000
term borrowings
Repayment of short- - (56,000)
term borrowings
Dividends paid (549,543) (62,757)
Dividends paid to (320) (144,307)
minority shareholders
Net cash used in (803,596) (339,529)
financing activities

Net increase / - 124,425 213,296
decrease in cash and
cash equivalents
Cash and cash 485,318 272,022
equivalents at
beginning of year
Cash and cash 609,743 485,318
equivalents at end of
year


Hille Võrk
Financial Manager
+372 6 272 460

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