In thousands of kroons                                       9m 2001  9m 2000

OPERATING ACTIVITIES
Profit before income tax                                        23,675   24,024
Adjustments for:
Accumulated depreciation for the period                  16,574     9,014
Gain on sale of shares                                                -341
Gains and losses on sale of non-current assets               -231       255
Interest expense                                                    6,138     2,229
Operating profit before changes in working capital      46,156   35,181
Change in current assets                                       -20,229  -27,765
Change in current liabilities                                       -9,795   -5,975
Cash generated from operations                              16,132     1,441
Interest paid                                                         -6,010    -2,518

NET CASH FROM OPERATING ACTIVITIES                 10,122   -1,077

INVESTING ACTIVITIES
Acquisition of non-current assets                             -32,486  -54,197
Sale of non-current assets                                        1,025        598
Acquisition of shares and other securities                                -5,098
Sale of shares and other securities                                          1,350

NET CASH USED IN INVESTING ACTIVITIES             -31,461   -57,347

FINANCING ACTIVITIES
Proceeds from borrowing                                          5,872    49,591
Repayment of loans                                                -6,258   -18,545
Settlement of finance lease liabilities                             -541       -389
Change in the overdraft balance                               17,927
Võlakirjade emiteerimine                                                       31,293

NET CASH FROM/USED IN FINANCING ACTIVITIES      17,000   61,950

NET CHANGE IN CASH                                             -4,339     3,526
CASH AT BEGINNING OF PERIOD                               4,908     2,946
CASH AT END OF PERIOD                                           569      6,472



Andrus Aljas
CFO
+372 44 78 355