VIDU : Financial reports

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ADPCaption2023-12
uncons. a.
2023-12
uncons.
2023-09
uncons.
2023-06
uncons.
2023-03
cons.
2022-12
cons. a.
2022-12
cons.
>>
2021-12
cons. a.
 Cash flow from operating activities         
11 Pre-tax profit 1,599,4881,545,169
22 Adjustments (ADP 003 to 010): 1,012,6231,348,926
3a) Depreciation 2,060,0162,060,016
4b) Gains and losses from sale and value adjustment of fixed tangible and intangible assets -163,454172,849
5c) Gains and losses from sale and unrealised gains and losses and value adjustment of financial assets 00
6d) Interest and dividend income -18,177-18,177
7e) Interest expenses 315,726315,726
8f) Provisions -1,181,488-1,181,488
9g) Exchange rate differences (unrealised) 00
10h) Other adjustments for non-cash transactions and unrealised gains and losses 00
11I Cash flow increase or decrease before changes in working capital (ADP 001+002) 2,612,1112,894,095
123 Changes in the working capital (ADP 013 to 016) -294,082-239,762
13a) Increase or decrease in short-term liabilities -323,105-268,785
14b) Increase or decrease in short-term receivables -93,895-93,895
15c) Increase or decrease in inventories 122,918122,918
16d) Other increase or decrease in working capital 00
17II Cash from operations (ADP 011+012) 2,318,0292,654,333
184 Interest paid -319,500-319,501
195 Income tax paid -155,855-155,855
20A) NET CASH FLOW FROM OPERATING ACTIVITIES (ADP 017 to 019) 1,842,6742,178,977
 Cash flow from investment activities         
211 Cash receipts from sales of fixed tangible and intangible assets 252,580237,124
222 Cash receipts from sales of financial instruments 00
233 Interest received 9,8289,828
244 Dividends received 00
255 Cash receipts from repayment of loans and deposits 164,923164,923
266 Other cash receipts from investment activities 5,4595,459
27III Total cash receipts from investment activities (ADP 021 to 026) 432,790417,334
281 Cash payments for the purchase of fixed tangible and intangible assets -4,377,005-4,697,852
292 Cash payments for the acquisition of financial instruments 00
303 Cash payments for loans and deposits for the period -800,000-800,000
314 Acquisition of a subsidiary, net of cash acquired 00
325 Other cash payments from investment activities 00
33IV Total cash payments from investment activities (ADP 028 to 032) -5,177,005-5,497,852
34B) NET CASH FLOW FROM INVESTMENT ACTIVITIES (ADP 027 +033) -4,744,215-5,080,518
 Cash flow from financing activities         
351 Cash receipts from the increase in initial (subscribed) capital 939,302939,302
362 Cash receipts from the issue of equity financial instruments and debt financial instruments 00
373 Cash receipts from credit principals, loans and other borrowings 9,736,2339,736,233
384 Other cash receipts from financing activities 3,060,6793,060,679
39V Total cash receipts from financing activities (ADP 035 to 038) 13,736,21413,736,214
401 Cash payments for the repayment of credit principals, loans and other borrowings and debt financial instruments -9,940,814-9,940,814
412 Cash payments for dividends 00
423 Cash payments for finance lease -31,534-31,534
434 Cash payments for the redemption of treasury shares and decrease in initial (subscribed) capital 00
445 Other cash payments from financing activities 00
45VI Total cash payments from financing activities (ADP 040 to 044) -9,972,348-9,972,348
46C) NET CASH FLOW FROM FINANCING ACTIVITIES (ADP 039 +045) 3,763,8663,763,866
471 Unrealised exchange rate differences in respect of cash and cash equivalents 00
48D) NET INCREASE OR DECREASE IN CASH FLOWS (ADP 020+034+046+047) 862,325862,325
49E) CASH AND CASH EQUIVALENTS AT THE BEGINNING OF THE PERIOD 1,632,5931,632,593
50F) CASH AND CASH EQUIVALENTS AT THE END OF THE PERIOD(ADP 048+049) 2,494,9182,494,918

The data in the financial report are in euros.
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