2010

2011 

 2012
Cash flow from operating activities      
Earnins before tax for the period

679.433

-19600751

-4506291 

 

 

   
Deprecation -Amortisation

 1.923.798

 2.897.849

 2.404.585

Provisions

 248.230

 14.381.614

 -1545949

Foreign Exchange differences

11.279

 114.534

 3.586

Results form investing activity

 -1.843.709

 2079.869

-331.712 

Financial Expenses

 

 

 
Increase) / decrease of Inventory

2.661.542

-1.027.207 

 -6102385

Increase) / decrease of Receivables

 -6.212.017

 -12195323

3048331 

(Increase) / decrease of Liabilities

-227.725 

 -1.420.077

7.587.075 

Cash flows from operating activities

 

   
Interest and Expenses

-2.499.696

 -3.087.170

 -1383465

Income Tax paid

-459.507

 -129.028

 -298.333

Cash Flows from discontinued operations

-2.646.761

 0

 
Net cash flows from operating activities

 -3.218.675

 -14187734

 2.785.148

Cash flow from investing activities      
Proceeds from share capital increase

 0

 0

 231.756

Issue of new shares

 0

2.702.271

Dividend paid to shareholders

 -14.378

 -6

 -2.451

Loans received

 -1.776.324

 0

0

   
Financing flows from discontinued operations

0

   
Net cash flows from investing activities

 -1790702

 14.414.975

 -1664016

Net increase in the cash and cash equivalents

 -7656138

 -1.754.201

 13638

Cash and cash equivalents at the beginning of the year

 11.805.692

 4.147.018

 2.392.882

Cash and cash equivalents from Companies not included in the consolidation of the previous fiscal year

344

 0

 

Less: Cash and cash equivalent of discontinued operations

 -124.243

 -2.880

 -872.857

Cash and cash equivalents at the end of the year

 4.149.898

 2.392.817

 1.533.663


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