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Eesti Telekom: Eesti Telekom, consolidated cash flow statement

26.04.2001, Eesti Telekom, TLN
EESTI TELEKOM
CASH FLOW STATEMENT

EESTI TELEKOM, CONSOLIDATED CASH FLOW STATEMENT

AS EESTI TELEKOM AND SUBSIDIARY COMPANIES
CASH FLOW STATEMENT (unaudited)

In thousand of Estonian kroons
3 mths to 3 mths to
31 March 01 31 March 00
Cash flow from operating
activities
Profit before tax and minority 275,668 247,045
interest
Adjustments for:
Depreciation 260,534 247,362
Profit/Loss from sales and -271 -486
write-off of fixed assets
Income/ expense from 392 103
subsidiaries and associated
companies
Interests income/ expense -1,624 1,971
net
Other non-cash adjustments 699 1,221
Operating profit before working 535,398 497,216
capital changes

Change in current -28,293 -1,491
receivables
Change in inventories -47,517 18,490
Change in current -167,439 15,136
liabilities (except loans)
Adjusted cash generated from 292,149 529,351
operations

Interest paid -5,659 -8,310
Net cash flow from operating 286,490 521,041
activities

Cash flow from investing
activities
Purchase of property, plant and -169,706 -203,186
equipment
Purchase of licenses -4,026 -815
Purchase of shares, investments -20,861 -40,000
and other
Proceeds from sales of 2,405 2,175
property, plant and equipment
Proceeds from sales of 0 10
investments
Loans granted -106 -50
Cash receipts from repayment of 16 0
loans
Cash receipts from settlement 0 85
of long-term receivables
Interest received 2,953 3,326
Net cash flow from investing -189,325 -238,455
activities

Cash flow from financing
activities
Proceeds from convertible long- 438
term debt
Repayment of convertible long- -8
term debt
Repayment of nonconvertible -1,692 -1,722
long-term debt
Repayment of long-term -15,940 -118,440
borrowings
Payment of finance lease -8,276 -282
liabilities
Dividends paid to minority -208
shareholders
Net cash flow from financing -25,478 -120,652
activities

Net increase / - decrease in 71,687 161,934
cash and cash equivalents

Cash and cash equivalents at 609,743 485,318
beginning of year
Cash and cash equivalents at 681,430 647,252
end of period


Hille Võrk
Financial manager
6 272 460

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