Consolidated statement of cash flows, IFRS

M €

1-6/2016

1-6/2015

1-12/2015

Cash flow from operating activities

     

Profit for the period

85.3

98.0

179.4

Adjustments

-2.1

-4.6

9.0

Change in net working capital

-0.8

-3.1

0.0

Interest paid

-21.9

-24.0

-42.4

Interest received

0.3

0.3

0.6

Other financial items

-0.7

-0.2

-0.5

Taxes paid

-14.8

-17.4

-24.8

Net cash flow from operating activities

45.3

49.1

121.3

       

Cash flow from investing activities

     

Acquisition of investment properties

-96.7

-114.8

-230.9

Acquisition of property, plant and equipment and intangible assets

0.0

-0.3

-0.5

Proceeds from sale of investment properties

74.9

5.8

15.4

Proceeds from sale of tangible and intangible assets

0.0

   

Proceeds from sale of associated companies

0.6

0.0

0.0

Purchases of financial assets

-13.0

-7.0

-39.0

Proceeds from sale of financial assets

3.2

25.4

53.7

Non-current loans, granted

-0.4

0.0

-0.2

Repayments of non-current receivables

0.1

0.4

0.5

Interest and dividends received on investments

0.3

1.0

1.3

Net cash flow from investing activities

-17.2

-89.5

-199.8

       

Cash flow from financing activities

     

Non-current loans, raised

229.7

79.2

195.9

Non-current loans, repayments

-81.4

-78.2

-134.2

Current loans, raised

250.3

140.9

252.3

Current loans, repayments

-184.1

-105.8

-209.1

Dividends paid

-37.0

-22.2

-22.2

Net cash flow from financing activities

177.5

13.8

82.7

       

Change in cash and cash equivalents

191.8

-26.6

4.2

       

Cash and cash equivalents in the beginning of period

118.6

114.4

114.4

Cash and cash equivalents at the end of period

310.4

87.8

118.6

       
       
 
 

*) 31 Dec 2015 includes liquid assets related to Assets held for sale EUR 2.6 million

 

 

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