
- Profile
- Address to shareholders
- Key events
- Company overview
- Company's securities
- Corporate governance report
- OAO TMK board of directors’ statement of compliance with the corporate governance principles
- OAO TMK’S corporate governance structure
- Rights and equitable treatment of shareholders
- Board of Directors
- Committees of the Board of Directors’
- Assessment of the board’s performance
- Executive management
- Information policy and disclosure
- Risk management and internal control
- Report on compliance with the principles and recommendations set out in the corporate governance code
- Corporate citizenship
- MD&A
- Financial statements
- Independent auditors’ report
- Consolidated Income Statement
- Consolidated Statement of Comprehensive Income
- Consolidated Statement of Financial Position
- Consolidated Statement of Changes in Equity
- Consolidated Statement of Cash Flows
- Notes to the Consolidated Financial Statements
- Corporate Information
- Basis of Preparation of the Financial Statements
- Significant Estimates and Assumptions
- Changes in Accounting Policies
- Significant Accounting Policies
- Basis of Consolidation
- Business Combination and Goodwill
- Cash and Cash Equivalents
- Financial Assets
- Inventories
- Property, Plant and Equipment
- Intangible Assets (Other than Goodwill)
- Impairment of Non-Financial Assets (Other than Goodwill)
- Borrowings
- Leases
- Provisions
- Employee Benefits Liability
- Government Grants
- Deferred Income Tax
- Equity
- Revenue Recognition
- Notes to the Consolidated Financial Statements
- Segment Information
- Cost of Sales
- Selling and Distribution Expenses
- Advertising and Promotion Expenses
- General and Administrative Expenses
- Research and Development Expenses
- Other Operating Expenses
- Other Operating Income
- Income Tax
- Earnings per Share
- Acquisition and Disposal of Subsidiaries
- Investments in Associates
- Cash and Cash Equivalents
- Trade and Other Receivables
- Inventories
- Prepayments and Input VAT
- Property, Plant and Equipment
- Goodwill and Other Intangible Assets
- Other Non-Current Assets
- Trade and Other Payables
- Provisions and Accruals
- Interest-Bearing Loans and Borrowings
- Convertible Bonds
- Finance Lease Liability
- Employee Benefits Liability
- Other Non-Current Liabilities
- Interests in Subsidiaries
- Related Parties Disclosures
- Contingencies and Commitments
- Equity
- Financial Risk Management Objectives and Policies
- Subsequent events
Annual Report 2014
Cash and Cash Equivalents
Cash and cash equivalents were denominated in the following currencies:
2014 г. | 2013 г. | |
Russian rouble | 163 557 | 62 838 |
US dollar | 84 214 | 22 490 |
Euro | 3 335 | 6 609 |
Romanian lei | 1 043 | 165 |
Other currencies | 749 | 1 196 |
252 898 | 93 298 |
The above cash and cash equivalents consisted primarily of cash at banks. As at December 31, 2014, the restricted cash amounted to 1,139 (December 31, 2013: 7,452).