Pēd. atjaunots: 28.11.2024 10:18 (GMT+2)

Eesti Telekom: Consolidated Cash Flow Statement 2001, EUR

07.02.2002, Eesti Telekom, TLN
EESTI TELEKOM
CASH FLOW STATEMENT

CONSOLIDATED CASH FLOW STATEMENT 2001, EUR

AS EESTI TELEKOM AND SUBSIDIARY COMPANIES
In thousand of euros (EUR)
unaudited
12 mths 12 mths
2001 2000
Cash flow from operating
activities
Profit before tax and minority 52,307 70,084
interest
Adjustments for:
Depreciation 72,965 61,950
Profit/loss from sales and 94 -237
write-off of fixed assets
Profit/loss from sale of 0 0
investments
Income/ expense from -1,715 20
subsidiaries and associates
Profit/loss from value 0 0
adjustment of shares
Interests income/ expense, net -196 18
Other non-cash adjustments -18 -43
Operating profit before working 123,437 131,792
capital changes

Change in current receivables -3,634 -21
Change in inventories 2,523 -484
Change in current liabilities -10,323 12,153
(except loans)
Adjusted cash generated from 112,003 143,440
operations

Interest paid -1,016 -1,420
Income tax paid 0 -3,241
Net cash flow from operating 110,987 138,779
activities

Cash flow from investing
activities
Purchase of tangible assets -58,335 -77,138
Purchase of licenses -2,296 -2,035
Purchase of shares, investments -8,474 -8,784
and other
Proceeds from sales of tangible 730 683
assets
Proceeds from sales of 3,196 6,381
investments
Proceeds from sales of associates 2,780 0
Loans granted -307 -6
Cash receipts from repayment of 5 13
loans
Cash receipts from settlement of
long-term receivables
Dividends received 12 0
Interest received 1,296 1,419
Net cash flow from investing -61,393 -79,467
activities

Cash flow from financing
activities
Proceeds from convertible long- 28 0
term debt
Repayment of convertible long- -1 0
term debt
Proceeds from nonconvertible long- 0 6,024
term debt
Repayment of nonconvertible long- -6,724 -446
term debt
Proceeds from long-term 0 0
borrowings
Repayment of long-term borrowings -6,713 -21,410
Proceeds from finance lease 0 0
liabilities
Payment of finance lease -1,063 -385
liabilities
Proceeds from short-term 5,000 0
borrowings
Repayment of short-term -5,000 0
borrowings
Dividends paid -48,293 -35,122
Dividends paid to minority 0 -20
shareholders
Net cash flow from financing -62,766 -51,359
activities

Net increase / - decrease in cash -13,172 7,953
and cash equivalents

Cash and cash equivalents at 38,970 31,017
beginning of year
Cash and cash equivalents at end 25,798 38,970
of period


Hille Võrk
Financial Manager
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