Pēd. atjaunots: 28.11.2024 00:28 (GMT+2)
EESTI TELEKOM
CASH FLOW STATEMENT
CONSOLIDATED CASH FLOW STATEMENT, 9M 2001
AS EESTI TELEKOM AND SUBSIDIARY COMPANIES
CASH FLOW STATEMENTS
In thousands of Estonian kroons (EEK)
9 mths to 9 mths to
30 Sept 01 30 Sept 00
Cash flow from operating
activities
Profits before tax and minority 744,321 875,820
interest
Adjustments for:
Depreciation 780,607 714,828
Profit/loss from sales and -4,403 -4,767
write-off of fixed assets
Income/ expense from -28,854 140
subsidiaries and associates
Interest income/ expense, net -2,790 1,460
Other non-cash adjustments 1,867 -3,094
Operating profits before working 1,490,748 1,584,387
capital changes
Change in current receivables -93,554 -36,006
Change in inventories -8,701 7,361
Change in current liabilities -189,300 85,496
(except loans)
Adjusted cash generated from 1,199,193 1,641,238
operations
Interest paid -16,574 -26,512
Income tax paid 0 -54,750
Net cash flow from operating 1,182,619 1,559,976
activities
Cash flow from/used in investing
activities
Purchase of tangible assets -653,887 -731,301
Purchase of licenses -11,992 -16,052
Purchase of shares, investments, -71,996 -115,200
and other
Proceeds from sales of tangible 9,479 8,134
assets
Proceeds from sales of 50,000 99,840
investments
Proceeds from sales of associates 43,500 0
Loans granted -4,393 -65
Cash receipts from repayment of 58 315
loans
Dividends received 181 7
Interest received 18,878 22,983
Net cash flow used in investing -620,172 -731,339
activities
Cash flow from/used in financing
activities
Proceeds from convertible long- 438 0
term debt
Repayment of convertible long- -10 0
term debt
Proceeds from non-convertible 0 94,251
long-term debt
Repayment of non-convertible long- -103,559 -5,236
term debt
Repayment of long-term borrowings -100,734 -330,684
Payment of finance lease -16,629 -3,548
liabilities
Proceeds from short-term 78,233 0
borrowings
Repayment of short-term -78,233 0
borrowings
Dividends paid -755,617 -549,543
Dividends paid to minority 0 -320
shareholders
Net cash flow used in financing -976,111 -795,080
activities
Net increase / -decrease in cash -413,664 33 557
and cash equivalents
Cash and cash equivalents at 609,743 485 318
beginning of year
Cash and cash equivalents at end 196,079 518 875
of period
Kadri Lensment
Management Assistant
6 311 212