Condensed statement of cash flows
Restated Restated
MEUR 1-6/2013 1-6/2012 2012
Cash flow from operating activities:
Profit for the reporting period 151 143 344
Depreciation, amortisation and impairment 65 68 139
Financial income and expenses 4 11 31
Selling profit and loss of fixed assets and other changes -28 -12 -16
Share of result of associates and joint ventures -10 -9
Income taxes 48 49 109
Changes in working capital -56 -306 -278
Cash flow from operating activities before financial items and taxes 175 -47 320
Financial items and paid taxes -52 -108 -167
Cash flow from operating activities 122 -154 153
Cash flow from investing activities:
Investments in shares and acquisitions -5 -393 -402
Net investments in property, plant and equipment and intangible assets -40 -32 -99
Proceeds from sale of available-for-sale financial assets and shares in associated companies 32 26 26
Cash flow from other investing activities 3 2 4
Cash flow from investing activities -10 -397 -471
Cash flow from financing activities:
Proceeds from non-current borrowings 50 159 158
Repayments and other changes in non-current loans -61 -50 -92
Changes in current loans and other changes 97 179 73
Dividends paid -200 -182 -186
Cash flow from financing activities -114 106 -47
Change in cash and cash equivalents, increase (+) / decrease (-) -1 -446 -365
Cash and cash equivalents at the beginning of the reporting period 225 592 592
Exchange rate changes -4 1 -2
Cash and cash equivalents at the end of the reporting period 219 148 225

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