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Consolidated statement of cash flows

Millions of euros

Note

2023

2022

Cash flow from operating activities

   

Operating result

 

117.2

110.8

Adjusted for:

   

- Depreciation/amortization of (in)tangible fixed assets

6

84.6

76.4

- Impairment of fixed assets

10/12

-21.7

 

- Result from divestments of fixed assets

 

0.6

-9.1

- Share-based remuneration

 

4.1

4.8

Total adjustments to reconcile operating result with net cash generated by (used for) operating activities

 

67.6

72.1

Cash flow from operating activities before movements in working capital and provisions

 

184.8

182.9

Movement in provisions

 

-4.6

0.9

Movements in operating working capital:

   

- Trade receivables

 

4.7

-39.0

- Inventories

 

61.5

-90.4

- Trade payables

 

-41.9

14.6

Movements in other working capital

 

-6.1

3.8

Cash flow from business operations

 

198.4

72.8

Interest received

 

6.1

2.6

Interest paid

 

-27.4

-18.1

Tax paid on profit

 

-11.7

-18.3

Cash flow from operating activities

 

165.4

39.0

    

Cash flow from investment activities

   

Dividends received from joint ventures and associates

 

4.6

14.2

Investment other financial assets

 

-2.1

-1.0

Repayment other financial assets

  

12.7

Capital expenditure on (in)tangible fixed assets

 

-149.3

-235.8

Divestment of (in)tangible fixed assets

  

10.8

Cash flow from investment activities

 

-146.8

-199.1

    

Cash flow from financing activities

   

Proceeds from interest-bearing debts

 

46.0

236.0

Repayment of interest-bearing debts

 

-4.8

-2.7

Payment of lease liabilities

 

-13.4

-11.5

Settlement of derivatives

  

-14.9

Paid-out dividend

 

-33.1

-33.0

Cash flow from financing activities

 

-5.3

173.9

Net cash flow

 

13.3

13.8

Effects of exchange rate differences on cash and cash equivalents

 

-1.3

2.2

Increase/(decrease) cash and cash equivalents

 

12.0

16.0

Cash and cash equivalents at start of financial year

 

58.2

42.2

Cash and cash equivalents at close of financial year

17

70.2

58.2