Pēd. atjaunots: 27.11.2024 09:31 (GMT+2)
ESTIKO
CASH FLOW STATEMENT
CONSOLIDATED CASH FLOW STATEMENT, Q1 2001
in thousand EEK
Q1 2001 Q1 2000
Operating activities
PROCEEDS 49,479 40,461
Proceeds from customers 49,282 39,635
Other 196 826
PAYMENTS 38,386 34,208
Payments to suppliers 30,747 28,100
Tax payments 3,401 2,320
Payments of wages and salaries 3,696 3,207
Payments to other accrued expenses 498 476
Other payments 44 105
Net cash flow from operating activities 11,093 6,252
Investing activities
PROCEEDS 4,709 2,850
Proceeds from sale of fixed assets 4,709 1,350
Proceeds from prepayments for fixed assets 1,500
PAYMENTS 13,442 979
Paid at purchase of tangible assets 13,442 934
Paid at purchase of financial assets 45
Net cash used in investing activities -8,733 1,871
Financing activities
Credit line 3,103 -1,050
PROCEEDS 8,033 11
Proceeds from interest on borrowings 8 11
Proceeds from borrowings 8,025
Proceeds from credit line 3,103 -1,050
PAYMENTS 10,328 5,103
Repayment of borrowings 3,605 2,776
Repayment of non-convertible borrowings 3,945
Finance lease payments 354 385
Interest payments 2,276 1,893
Other financial expenses 147 47
Owners' equity - Acquisition of treasury shares 2 2
Net cash used in financing activities 808 -6,142
Net cash flow 3,168 1,981
Cash at beginning of period 588 1,050
Cash at end of period 3,756 3,031
Ellen Tohvri
Management Board chairperson
+372 737 1000