Case File
efta-efta01092004DOJ Data Set 9OtherPhaidon
Date
Unknown
Source
DOJ Data Set 9
Reference
efta-efta01092004
Pages
2
Persons
0
Integrity
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Text extracted via OCR from the original document. May contain errors from the scanning process.
Phaidon
ACTUAL ACTUAL
FCAST [repeated 11 times]
CASH FLOW - 2014/15
JUL
AUG
SEP
Ott
NOV
DEC
JAN
FEB
MAR
APR
MAY
JUN
MOVEMENT Operating Profit
(635)
(399)
(604)
569
887
92
(1,077)
(574)
(356)
194
535
104
(1,263) Non-Trading Items
0
[repeated 13 times]
EBIT
(635)
(399)
(604)
569
887
92
(1,077)
(574)
(356)
194
535
104
(1,263) Add-Back Depreciation
22
31
34
[repeated 10 times]
389
EBITDA
(612)
(369)
(570)
603
921
125
(1,043)
(540)
(323)
228
569
137
(874) Decrease/(Increase) in stocks
5
(54)
(322)
(417)
852
354
(29)
(364)
(158)
(280)
111
25
(278) Decrease/(Increase) in Debtors
410
549
(304) (2,421) (2,783) (1,144) 1,901 2,641
989
(395)
(871)
(708) (2,136) (Decrease)/Increase in Creditors
(162)
(417)
(434) 1,349
(883)
(175)
(912)
(64)
511
117
(343) 1,005
(408) Movement in Net Author Position
32
50
(266)
(27)
131
56
77
45
(375)
45
83
61
(88) Movement in Distributor Advance
10
32
0
43
Exchange Gain/Loss
7
(19)
0
(12) Net Cashflow from operating activities
(310)
(228) (1,896)
(913) (1,763)
(783)
(6)
1,718
645
(285)
(452)
520
(3,754) Interest Receivable
0
(0)
0
(0)
Interest Payable
0
[repeated 13 times] Servicing of finance
0
(0)
0
(0)
Purchase of Fixed Assets
(38)
(16)
(90)
(40)
(40)
(90)
(40)
(40)
(140)
(40) [repeated 3 times]
(654) Receipts from Sale of fixed assets
0
Capital Expenditure
(38)
(16)
(90)
(40)
(40)
(90)
(40)
(40)
(140)
(40) [repeated 3 times]
(654) Net Cashflow before financing
(349)
(244) (1,986)
(953) (1,803)
(873)
(46) 1,678
505
(325)
(492)
480
(4,409) Overdraft/Credit Facility
(0)
799
750
753
2,108
472
0
(1,000)
(500)
0
0
(400) 2,983 Net Movement in Cash
(349)
555
(1,236)
(200)
306
(401)
(46)
678
5
(325)
(492)
80
(1,426)
PROT0
Phaldon
CASH FLOW - 2015/16 Operating Profit Non-Trading Items
EBIT Add-Back Depreciation
EBITDA Decrease/(Increase) in stocks Decrease/(Increase) in Debtors
(Decrease)/Increase in Creditors Movement in Net Author Position
Movement in Distributor Advance Exchange Gain/Loss
Net Cashflow from operating activities Interest Receivable
Interest Payable Servicing of finance Purchase ol Fixed Assets
Receipts from Sale ol fixed assets Capital Expenditure
Net Cashflow before financing Overdraft/Credit Facility
Net Movement in Cash
FCAST [repeated 13 times]
JUL
AUG
SEP
OCT
NOV
DEC
JAN
FEB
MAR
APR
MAY
JUN
MOVEMENT
(711)
(341)
(82) 1.424 1.422
301
(910)
(836)
(53)
36
52
(39)
265
0
[repeated 13 times]
(711)
(341)
(82) 1.424 1,422
301
(910)
(836)
(53)
36
52
(39)
265
34
[repeated 12 times]
408
(677)
(307)
(48) 1,458 1,456
335
(876)
(802)
(19)
70
86
(5)
673
(102)
(46)
(391)
(590)
681
519
45
(121)
(111)
(174)
274
253
237
1,329
877
(596) (3.032) (3,097)
(286) 2.139 2,743
900
(120)
(702)
(296)
(141) (2,018)
203
778
1,600
85
(600) (1,338)
89
446
295
(114)
836
261
52
49
(330)
90
164
74
102
63
(465)
73
108
82
61
0
[repeated 26 times] (1,415)
776
(586)
(474)
(711)
41
72
1,973
750
143
(348)
870
1.091
0
[repeated 39 times]
(33) [repeated 12 times]
(400)
0
(33) [repeated 12 times]
(400) (1,448)
743
(619)
(507)
(744)
8
38
1,940
717
110
(381)
837
691
2.000
0
[repeated 3 times]
500
0
0
(1,500) (1,000)
0
[repeated 4 times]
552
743
(619)
(507)
(244)
8
38
440
(283)
110
(381)
837
691
PROT1
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