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Cash flow statement


Consolidated statement of cash flows 2002

EUR x 1,00020022001

Result from normal business operations after taxation

32,102

30,397

Amortisation of intangible fixed assets

826

59

Depreciation of tangible fixed assets

44,711

45,392

Change in provisions

1,762

4,316

Change in working capital

42,521

(11,082)

Share of third parties in group result after taxation459(42)

Net cash flow from operational activities

122,381

69,040

 

  
Net investments in group companies (6,276)(28,313)

Investments in tangible fixed assets

(23,195)

(55,407)

Disposals of tangible fixed assets

 4,801

1,936

Net investments in financial fixed assets

(9,407)

23,071

Net cash flow from investment activities

(34,077)

(58,713)

 

 

 

Dividend paid by Gamma Holding N.V.

(12,114)

(19,187)

Dividend paid by group companies to third parties

(382)

(405)

Proceeds from long-term loans 282,285 5,000

Repayments on long-term loans

(138,590)

(22,781)

Change in current interest-bearing liabilities

(215,607)

28,354

Net cash flow from financing activities

(84,408)

(9,019)

 

  

Exchange rate differences on cash and banks

(1,434)

178

   

Net cash flow

2,4621,486

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