Pēd. atjaunots: 28.11.2024 06:29 (GMT+2)

Kalev: Consolidated cash flow statement, 9m 2001

30.11.2001, Luterma, TLN
KALEV
CASH FLOW STATEMENT

CONSOLIDATED CASH FLOW STATEMENT, 9M 2001

Consolidated
Unaudited
in thousand EEK
9m 2001 9m 2000

OPERATING ACTIVITIES
OPERATING PROFIT 21,508 13,572
DEPRECIATION OF FIXED ASSETS 7,116 8,173
PROFIT/LOSS FROM SALE OF FIXED ASSETS -470 -337
ADJUSTMENTS TO CHANGES IN RECEIVABLES -12,736 22,287
CHANGE IN INVENTORIES 1,269 8,656
ADJUSTMENTS TO CHANGES IN LIABILITIES -62 -16,954
INTERESTS PAID -4,091 -6,110
NET CASH FROM OPERATING ACTIVITIES 12,534 29,287

INVESTING ACTIVITIES
INCOME FROM SUBSIDIARY / 3
ASSOCIATED COMPANY
PROCEEDS FROM SALE OF FIXED ASSETS 4,589 2,020
PURCHASE OF TANGIBLE FIXED ASSETS -16,821 -16,359
FIXED ASSETS LEASED 947
INTEREST INCOME 125 167
NET CASH USED IN INVESTING ACTIVITIES -12,107 -13,222

FINANCING ACTIVITIES
CHANGE IN CREDIT LINE BALANCE 5,498 262
CHANGE IN PROCEEDS FROM BORROWINGS -9,000 -33,365
ISSUES OF NEW DEBT 18,000
LEASE PAYMENTS -642 -584
OTHER FINANCING PROCEEDS -453 103
NET CASH USED IN FINANCING ACTIVITIES -4,597 -15,584

CHANGE IN CASH AND CASH EQUIVALENTS -4,170 481

CASH AND CASH EQUIVALENTS 7,034 2,696
AT THE BEGINNING OF THE YEAR
CHANGE -4,170 481
EXCHANGE DIFFERENCES -13 834
CASH AND CASH EQUIVALENTS 2,851 4,010
AT THE END OF THE YEAR


Ruth Roht
PR manager
+372 6 28 38 58

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