Pēd. atjaunots: 26.04.2024 01:56 (GMT+3)

Viisnurk: Consolidated cash flow statement 12/98

22.02.1999, Trigon Property Development, TLN
AS VIISNURK
CASH FLOW STATEMENT
01.01-31.12.98

CASH FLOW STATEMENT (INDIRECT METHOD)
(EEK)
consolidated, audited Group Group Parent Parent
1998 1997 1998 1997
Cash flows from operating activities
Profit before income tax 18,288,557 18,603,661 19,487,353 18,603,661
Specifications:
Annual accumulated depreciation 7,653,349 6,112,751 7,171,034 6,112,751
Profit/loss from sale of shares 112,027 -567,147 112,027 -567,147
Loss from the sale of subsidiaries' shares 54,766 0 54,766 0
Accounting loss from sale of shares 346,168 100,812 346,168 100,812
Loss from long-term financial investments 0 871,520 0 871,520
Loss from sale of non-current assets 97,672 130,392 97,672 130,392
Income from sale of non-current assets -81,498 -171,348 -81,498 -171,348
Income from investments -269,372 -1,849 -269,372 -1,849
Interest expenses 4,166,685 5,432,031 4,166,685 5,432,031
Operating profit before change in current assets 30,368,354 30,510,823 31,084,835 30,510,823
Decrease/increase in customer receivables 3,541,497 -9,948,009 3,747,139 -9,948,009
Increase in inventories -6,981,704 -9,288,064 -6,981,704 -9,288,064
Increase in supplier payables 3,904,665 8,102,543 2,445,057 8,102,543
Decrease/increase in tax liabilities -848,519 1,072,515 -857,305 1,072,515
Decrease/increase in other current receivables 619,771 -728,481 619,771 -728,481
Decrease in future period expenses -84,115 308,158 343,534 308,158
Decrease in customer prepayments -222,770 -760,646 -222,770 -760,646
Decrease in accrued expenses -1,204,227 -157,198 -1,213,435 -157,198
Increase in potential income tax 345,963 559,705 345,963 559,705
Cash generated from operations 29,438,915 19,671,346 29,311,085 19,671,346
Interest payments -4,246,251 -5,861,563 -4,246,251 -5,861,563
Income tax paid -4,620,738 -1,188,746 -4,620,738 -1,188,746

Net cash from operating activities 20,571,926 12,621,037 20,444,096 12,621,037

Cash flows from investment activities
Acquisition of non-current assets -12,652,598 -19,181,114 -12,260,409 -12,370,420
Proceeds of unfinished building 1,386,371 -510,914 1,386,371 -510,914
Sale of non-current assets 123,827 3,574,838 123,827 3,574,838
Acquisition of securities -252,123 -1,039,307 -252,123 -1,039,307
Sale of securities 18,843 943,737 18,843 943,737
Sale/acquisition of shares in subsidiaries 257,500 0 257,500 -3,500,000
Interests received 167,312 1,849 167,312 1,849
Dividends received 102,060 0 102,060 0

Net cash flow in investing activities -10,848,808 -16,210,911 -10,456,619 -12,900,217

Cash flows from financing activities
Proceeds from share issue 1,152,190 15,171,000 1,152,190 11,771,000
Long-term loan taken 2,250,000 5,000,000 2,250,000 5,000,000
Repayments of loans -4,400,441 -13,400,082 -4,400,441 -13,400,082
Capital rent payments -1,599,633 -1,366,869 -1,599,633 -1,366,869
Decrease in proceeds of credit line -4,253,419 -1,273,973 -4,440,019 -1,273,973

Net cash flow in financing activities -6,851,303 4,130,076 -7,037,903 730,076

TOTAL CHANGE IN CASH AND CASH EQUIVALENTS 2,871,815 540,202 2,949,574 450,896
CASH AND CASH EQUIVALENTS AT BEGINNING OF PERIOD 1,864,770 1,324,568 1,775,464 1,324,568
CASH AND CASH EQUIVALENTS AT THE END OF PERIOD 4,736,585 1,864,770 4,725,038 1,775,464

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