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Rapport annuel Rikf01/07/2024 Registrite ja Infosüsteemide Keskus (financials), Estonie

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Type de rapport: Flux de trésorerie
Devise: EUR
Date 2023-12-31 2022-12-31
TOTAL CASH FLOW FROM OPERATING ACTIVITIES 14 000 −64 000
-Operating profit (loss) / result from core activities −158 000 −223 000
-ADJUSTMENTS 118 000 152 000
--Depreciation and impairment of fixed assets 118 000 139 000
--Gain (loss) on sale of fixed assets 0 13 000
--Other adjustments 0 0
-Change in receivables and prepayments related to operations 48 000 −1 000
-Change in inventories 0 0
-Change in payables and advances related to operations 6 000 8 000
-Interest received 0 0
-Interest paid 0 0
-Corporate income tax paid 0 0
-Revenues from targeted financing 0 0
-Dividends received 0 0
-Other cash flows from operating activities 0 0
TOTAL INCOME FROM INVESTMENT ACTIVITIES 270 000 283 000
-Purchase of tangible and intangible fixed assets (cash paid) −10 000 −151 000
-Proceeds from sale of tangible and intangible fixed assets 0 0
-Purchase of investment property (cash paid) 0 0
-Proceeds from sale of investment property 236 000 250 000
-Acquisition of subsidiaries (cash paid) −1 000 0
-Proceeds from sale of subsidiaries 0 0
-Acquisition of associates (cash paid) 0 0
-Proceeds from sale of associates 0 0
-Acquisition of other financial investments (cash paid) 0 0
-Proceeds from sale of other financial investments 0 0
-Loans granted −22 000 −3 000
-Repayments of loans granted 0 184 000
-Interest received 0 0
-Dividends received 0 0
-Other payments from investing activities 0 0
-Other receipts from investing activities 67 000 3 000
-Loans received / borrowings 0 0
-Repayment of loans / borrowings repaid −265 000 −266 000
-Change in overdraft / revolving credit balance 0 0
-Repayment of finance lease principal 0 0
-Interest paid 0 0
-Revenues from targeted financing 0 0
-Proceeds from issuing shares / equity interests 0 0
-Payments for repurchase of own shares/units 0 0
-Dividends paid 0 0
-Corporate income tax paid 0 0
-Other receipts from financing activities 0 0
-Other payments from financing activities 0 0
TOTAL CASH FLOW 19 000 −47 000
Cash and cash equivalents at beginning of period 18 000 65 000
Change in cash and cash equivalents 19 000 −47 000
Effect of exchange rate changes 0 0
Cash and cash equivalents at end of period 37 000 18 000

Cette annonce se réfère à une date antérieure et ne reflète pas nécessairement l’état actuel. L’état actuel est présenté à la page suivante : OÜ Primos, Tallinn, Estonie.