Pēd. atjaunots: 27.11.2024 18:42 (GMT+2)
ESTIKO
CASH FLOW STATEMENT
CONSOLIDATED CASH FLOW STATEMENT, H1 2001
Unaudited
in thousand EEK
H1 2001 H1 2000
Operating activities
PROCEEDS 103,206 95,897
Proceeds from customers 102,938 90,626
Other 268 5,271
PAYMENTS 86,895 77,128
Payments to suppliers 69,638 62,496
Tax payments 7,629 6,348
Payments of wages and salaries 8,583 7,254
Payments to other accrued expenses 927 861
Other payments 119 169
Net cash flow from operating activities 16,311 18,769
Investing activities
PROCEEDS 15,209 6,274
Proceeds from sale of fixed assets 15,209 4,774
Proceeds from prepayments for fixed assets 0 1,500
PAYMENTS 17,688 2,175
Paid at purchase of tangible assets 17,688 2,130
Paid at purchase of financial assets 0 45
Net cash used in investing activities -2,479 4,100
Financing activities
Credit line 778 -2,964
PROCEEDS 9,307 33
Proceeds from interest on borrowings 30 33
Proceeds from borrowings 9,276 0
PAYMENTS 19,725 17,682
Repayment of borrowings 7,228 12,278
Repayment of non-convertible borrowings 3,945 319
Finance lease payments 2,842 690
Interest payments 4,461 4,192
Other financial expenses 403 141
Owners' equity - Acquisition of treasury share 549 17
Other payments 297 43
Net cash used in financing activities -9,640 -20,612
Net cash flow 4,193 2,257
Cash at beginning of period 588 1,050
Cash at end of period 4,781 3,307
Ellen Tohvri
Management Board chairperson
+372 737 1000