Central European Media Enterprises Ltd.Hamilton, Bermuda (NASDAQ (GS): CETV)

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Central European Media Cash Flow Statement

All amounts in millions of except per share amounts.
View: Annual | Quarterly
Quarter
Ending Jun 08
Quarter
Ending Mar 08
Quarter
Ending Dec 07
Quarter
Ending Sep 07
Quarter
Ending Jun 07
Net Operating Cash Flow 43.2 82.4 7.0 73.8 (10.3)
Net Investing Cash Flow (263.4) (23.7) (49.0) (100.3) (67.2)
Net Financing Cash Flow 1.0 398.3 (0.9) 105.3 30.3
Net Change in Cash (218.8) 451.7 (49.7) 75.9 (40.7)
Depreciation & Amortization 85.5 73.6 89.2 54.9 59.2
Capital Expenditures (18.2) (23.8) (35.2) (20.8) (13.5)
Cash Dividends Paid 0.0 (1.2) (1.7) (2.4) (0.3)
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