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Eesti Telekom: Consolidated cash flow statement, Q2 2001

19.07.2001, Eesti Telekom, TLN
EESTI TELEKOM
CASH FLOW STATEMENT

CONSOLIDATED CASH FLOW STATEMENT, Q2 2001

Audited
In thousands of kroons (EEK)

Note 6 mths to 6 mths to
30 June 01 30 June 00
Cash flow from operating
activities
Profit before taxes and 530,938 544,497
minority interest
Adjustments for:
Depreciation 521,066 476,149
Profit/loss from sales and -4,702 -2,996
write-off of fixed assets
Income/ expense from -32,684 174
subsidiaries and associates
companies
Interests income/ expense, -4,572 19
net
Other non-cash adjustments 2,340 1,090
Operating profit before 1,012,386 1,018,933
working capital changes

Change in current - -14,631
receivables 72,994
Change in inventories -11,343 -6,736
Change in current -122,103 48,421
liabilities (except loans)
Adjusted cash generated from 805,946 1,045,987
operations

Interests paid -12,391 -14,638
Income tax paid 0 -54,772
Net cash flow from operating 793,555 976,577
activities

Cash flow from investing
activities
Purchase of tangible assets -399,618 -458,405
Purchase of licenses -9,466 -11,177
Purchase of shares, -71,986 -100,200
investments and other
Proceeds from sales of 7,520 4,598
tangible assets
Proceeds from sales of 50,000 60,000
investments
Proceeds from sales of 43,500 0
associates
Loans granted -319 -50
Cash receipts from repayment 52 0
of loans
Cash receipts from settlement 0 187
of long-term receivables
Dividends received 1 0
Interests received 17,735 11,074
Net cash flow from investing -362,581 -493,973
activities

Cash flow from financing
activities
Proceeds from convertible long- 438 0
term debt
Repayment of convertible long- -8 0
term debt
Repayment of nonconvertible -3,402 -3,482
long-term debt
Repayment of long-term -20,245 -314,745
borrowings
Payment of finance lease -16,629 -850
liabilities
Dividends paid 6 -755,617 0
Dividends paid to minority 0 -208
shareholders

Net cash flow from financing -795,463 -319,285
activities

Net increase / - decrease in -364,489 163,319
cash and cash equivalents

Cash and cash equivalents at 609,743 485,318
beginning of year
Cash and cash equivalents at 245,254 648,637
end of period


Hille Võrk
Financial manager
6 272 460

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