Pēd. atjaunots: 28.11.2024 02:09 (GMT+2)
NORMA
CASH FLOW STATEMENT
CONSOLIDATED CASH FLOWS AS OF 30.09.2001
EEK in thousands , unaudited
Operating activities 30.09.01 30.09.00
Operating profit 124 626 126 251
Profit from sale of property, plant and
equipment -654 -2 743
Deprecation 1 094 0
Income from subsidiary companies 24 992 24 892
Property, plant and equipment write-off 228 68
Property, plant and equipment discount 29 7
Increase (-), decrease (+) in current
assets -69 780 25 509
Increase (+), decrease (-) in current
liabilities 35 070 1 909
Interest received and other financial
income 8 961 3 984
Taxes paid -2 232 -8 959
Interest and other financial expenses paid -14 -1 753
Total 122 320 169 166
Investing activities
Property, plant and equipment sold 1 105 12 033
Property, plant and equipment acquired -62 720 -23 087
Loans issued -188 -96
Subsidiary companies sold 5 000 0
Associated companies sold 0 2 000
Loans repaid 562 1 012
Total -56 241 -8 138
Financing activities
Loans repaid 0 -13 336
Dividends paid -66 000 -39 600
Total -66 000 -52 936
Net cash flow 79 046 108 092
Movement in cash and cash equivalents
Cash and cash equivalents at the
beginning of the year 146 937 149 335
Net cash flow 79 108 092
Foreign exchange gain -215 1 343
Cash and cash equivalents at the end of
year 146 801 258 769
incl.cash and bank accounts 50 146 155 228
marketable securities 96 655 103 541
Peep Siimon
Chairman of the Board
+372-6500-442