Top Include
English VersionEn  Greek VersionGr
Welcome to SuperFast Ferries!Welcome to Blue Star Ferries!
 
New Page 1

Latest news

· 05/01/2009: ANNOUNCEMENT OF SIGNIFICANT CHANGE - L3556/2007 - SIVET
· 05/01/2009: ANNOUNCEMENT OF REGULATED INFORMATION ACCORDING TO LAW 3556/2007 - MERGING
· 02/01/2009: ANNOUNCEMENT OF REGULATED INFORMATION ACCORDING TO LAW

 

Financial Information

 

·

Interim Financial Statements for the period 01.01-30.09.2008

·

Consolidated and Company Information for the period 01.01-30.09.08

·

Consolidated and Company Information for the period 01.01-30.06.08

·

Condensed Interim Financial Statements for the period 01.01-30.06.08

·

Concise Consolidated and Company Information for the period 01.01-31.12.07

·

Report of the Board of Directors and Annual Consolidated and Company Financial Statement for the period 01.01-31.12.07

·

Consolidated and Company Information for the period 01.01-30.09.07

·

Review of Financial Results for the Nine Months ended September 30, 2007 & Interim Financial Statements for the period 01.01.2007 to 30.09.2007

·

Consolidated and Company Information for the period 01.01-30.06.07

·

Review of Financial Results for the Six Months ended June 30, 2007 & Interim Financial Statements for the period 01.01.2007 to 30.06.2007

·

Consolidated and Company Information for the period 01.01-31.03.07

·

Statements for the period 01.01.2007 to 31.03.2007

·

Concise Consolidated and Company Information for the period 01.01-31.12.06

·

Report of the Board of Directors and Annual Consolidated and Company Financial Statements for the period 01.01-31.12.06

·

Financial Statements 2007

·

Financial Statements 2006

·

Financial Statements 2005

·

2004 Balance Sheet

·

2004 Profit and Loss Account

·

2004 Cash Flow Statement

·

Previous Years' Accounts

 

more...

 

Annual Reports

   
·

Attica Group 2006

·

Attica Group 2005

·

Attica Group 2004

·

Attica Enterprises 2003

·

Blue Star Maritime 2006

·

Blue Star Maritime 2005

·

Blue Star Maritime 2004

·

Strintzis Lines 2003

·

All Years' Annual Reports

  Adobe PDF

Group Presentation

   

  
 
 

Subscribe to our corporate
news e-mail list

 

Company:

Name:

Email:

 

   
      Home : Investor Relations : Financial Highlights
 
 
2000 CASH FLOW STATEMENT
ATTICA ENTERPRISES S.A. - GROUP OF COMPANIES
CASH FLOW STATEMENT
FOR THE YEAR ENDED 31st DECEMBER 2000
 
 

Cash flow from operations

Amounts in Grd

Operating cash inflow

Turnover (sales)

67,276,661,638

Sundry income

116,117,905

Extraordinary income

3,789,884,227

Prior year income

31,996,132

Interest income

2,172,379,961

Income from securities

581,582,180

Sale of securities

1,351,763,800

Less:

 

Increase in securities

2,550,409,034

Increase in debtors

9,945,688,549

Total operating cash inflow

62,824,288,260

 

 

Operating cash outflow

 

Cost of sales

41,340,385,189

Administration expenses

3,837,713,215

Operation and distribution expenses

7,785,250,010

Other expenses

387,650,463

Increase in inventories

871,435,807

Increase in prepayments and accrued income

4,751,515,933

Less:

 

Increase in deferred income and accrued expenses

3,876,129,358

Increase in current liabilities (except banks)

5,459,095,036

Total operation cash outflow

49,638,726,223

 

 

Tax cash outflow

 

Income taxes

78,270,781

Prior years' tax differences

219,149

Less:

 

Increase in liabilities due to taxes

379,875,388

Total tax cash outflow

-301,385,458

 

 

Cash flow from operations

13,486,947,495

 

 

Cash flow from investment activities

 

Investment cash inflow

 

Deduction in long term receivables

42,317,477,039

Income from investment in subsidiaries

455,702,940

Total investment cash inflow 

42,773,179,979

Investment cash outflow

 

Increase in intangible assets

306,145,733

Increase in tangible assets

157,510,955,635

Increase in establishment expenses

22,724,076,307

Total investment cash outflow 

180,541,177,675

 

 

Cash flow from investment activities

-137,767,997,696

 

 

Cash flow from financial activities

 

Cash in flow

 

Revenue from increase in paid up capital and share premium account

43,183,387,199

Revenue from revaluation reserve

82,869,242

Increase in long term liabilities

58,016,740,396

Increase in current liabilities (bank accounts)

20,759,268,903

Total cash inflow

122,042,265,740

Cash outflow

 

Debit interest

5,814,481,979

Divident paid

3,124,540,670

Directors' fees from net profit

19,250,000

Total cash outflow

8,958,272,649

Cash flow from financial activities

113,083,993,091

GROUP CASH FLOW 

-11,197,057,110

PLUS: CASH AND BANKS 1/1/2000

40,698,305,684

CASH AND BANKS 31/12/2000

29,501,248,574

   

 

 

 
Voula, 25th May, 2001
     
Pericles S. Panagopulos Alexander P. Panagopulos George V. Karydis
Chairman of the Board
Board of Directors
Vice-Chairman of the
Board of Directors
Financial Director
     
REPORT OF THE CERTIFIED PUBLIC ACCOUNTANTS

We have audited the above Consolidated Cash Flow Statement of ATTICA ENTERPRISES HOLDINGS S.A. and its subsidiaries for the year ended 31st December 2000 which has been prepared based on the Audited Consolidated Financial Statements for which we have issued our Audit Report on 23rd February, 2001. In our opinion, the abovementioned Consolidated Cash Flow Statement presents the Cash outflow and inflows of the activities for the year of all the companies which are included in the consolidation of 31 December 2000.

Athens, 28th May, 2001
The Certified Public Accountants

Kyriakos Papakyriakou, FCCA, CA (GR)
DRM STYLIANOY S.A.
A Member Firm of RSM International

 
ATTICA GROUP S.A.
ATTICA GROUP, 123-125, Syngrou Avenue & 3, Torva Street, 11745 Athens, Greece Tel.: +30 210 891 9500 Fax: +30 210 891 9509