Pēd. atjaunots: 22.07.2024 03:13 (GMT+3)

Tallinna Kaubamaja: Cash flow statement, Q1 2001

11.05.2001, TKM Grupp, TLN
TALLINNA KAUBAMAJA
CASH FLOW STATEMENT

CASH FLOW STATEMENT, Q1 2001

Consolidated, unaudited
in EEK thousand
Q1 2001 Q1 2000
Operating activities
Net profit -5,852 7,217
Depreciation of fixed assets 12,576 8,810
Profit/loss from sale and liquidation
of fixed assets 0 -36
Effect of equity method 73 78
Sale of long-term financial assets
and value adjustments 0 -1,548
Minority interest profit/loss -109 -193
Interest expense 3,576 2,753
Interest income -149 -101
Adjustments to changes in receivables
and inventories -13,710 -28,268
Adjustments to changes in liabilities -11,556 -14,487
Net cash from operating activities -15,150 -28,230

Investing activities
Other loans granted 0 -3,024
Repayment of other borrowings 18,300 0
Purchase and renovation of tangible
fixed assets (except finance lease) -34,062 -32,715
Proceeds from sale of fixed assets 10 87
Interest income 149 50
Net cash used in investing activities -15,603 -35,602

Financing activities
Change in credit line balance 17,973 21,261
Proceeds from borrowings 24,600 47,500
Repayment of borrowings -30,870 -10,370
Finance lease payments -1,059 -1,043
Interest paid -3,852 -2,233
Net cash used in financing activities 6,791 57,346

Total cash flow -23,961 -6,486

Cash and cash equivalents
at the beginning of period 29,701 27,310
Cash and cash equivalents
at the end of period 5,740 20,824
Change in cash and cash equivalents -23,961 -6,486


Toomas Tamsar
Management Board chairman
+372 6 400 200

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