Pēd. atjaunots: 25.11.2024 11:40 (GMT+2)

Klementi: Consolidated cash flow statement, Q1 2000

15.05.2000, Klementi, TLN
KLEMENTI
CASH FLOW STATEMENT

CONSOLIDATED CASH FLOW STATEMENT, Q1 2000

Consolidated, unaudited
EEK thousand
Consolid. AS Klementi
31.03.00 31.03.00

Operating activities

Adjustments for operating profit
Operating profit -2,082 -2,110
Depreciation of fixed assets 922 863
Depreciation of intangible assets 223 197
Profit from sale of fixed assets -72 -72
Loss from write-off of fixed assets 2 2
Realized profit from write-off of fixed assets-36 0
Loss from long-term investments 541 320
Interest calculated -537 541
Interest paid -537

Total -1,039 -796

Adjustments to changes in working capital

Change in current assets -3,299 -2,692
Change in current liabilities 290 -892

Total -3,009 -3,584

Net cash from operating activities -4,048 -4,380

Investing activities
Purchase of tangible fixed assets -4,781 -4,667
incl. finance lease 5,485 5,485
Purchase of intangible fixed assets -930 -930
Proceeds from sale of fixed assets 1,000 1,000
Reconstruction of fixed assets -300 -300

Net cash used in investing activities 474 588

Financing activities
Repayment of borrowings -3,390 -3,190
Proceeds from borrowings 7,114 7,114
Finance lease payments -1,036 -1,036

Net cash used in financing activities 2,688 2,888

Net cash flow -886 -904
Cash and cash equivalents at
beginning of period 4,458 3,820
Cash and cash equivalents at
end of period 3,572 2,916


Tiiu Tammots
Chief accountant
+372 6 710 708

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