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Rapport annuel Rikf20/03/2025 Registrite ja Infosüsteemide Keskus (financials), Estonie

Vue d’ensemble

Texte

Type de rapport: Flux de trésorerie
Devise: EUR
Date 2024-12-31 2023-12-31
TOTAL CASH FLOW FROM OPERATING ACTIVITIES 380 082 237 907
-Operating profit (loss) / result from core activities −5 702 162 747
-ADJUSTMENTS 258 853 197 637
--Depreciation and impairment of fixed assets 258 853 197 638
--Gain (loss) on sale of fixed assets 0 0
--Other adjustments 0 −1
-Change in receivables and prepayments related to operations 150 663 −148 017
-Change in inventories 0 0
-Change in payables and advances related to operations −23 732 25 540
-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 8 016 −145 508
-Purchase of tangible and intangible fixed assets (cash paid) 0 −145 531
-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 0 0
-Acquisition of subsidiaries (cash paid) 0 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 0 0
-Repayments of loans granted 0 0
-Interest received 0 0
-Dividends received 0 0
-Other payments from investing activities 0 0
-Other receipts from investing activities 0 0
-Loans received / borrowings 0 0
-Repayment of loans / borrowings repaid 0 0
-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 −50 400 −50 400
-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 340 218 41 999
Cash and cash equivalents at beginning of period 247 609 205 610
Change in cash and cash equivalents 340 218 41 999
Effect of exchange rate changes 0 0
Cash and cash equivalents at end of period 587 827 247 609

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 : AS Synerall, Tallinn, Estonie.