Consolidated Cash Flow Statement

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SEKm Notes 2017/2018 2016/2017
OPERATING ACTIVITIES      
Profit after financial items 665 580
Adjustment for items not included in cash flow 159 134
Income tax paid -169 -123
Cash flow from operating activities before changes in working capital 655 591
Cash flow from changes in working capital    
Changes in inventories -106 -7
Changes in operating receivables -37 -104
Changes in operating liabilities 27 71
Cash flow from operating activities 539 551
       
INVESTING ACTIVITIES      
Acquisition of property, plant and equipment -46 -58
Disposal of property, plant and equipment 3 4
Acquisition of intangible non-current assets -5 -10
Acquisition of operations, net liquidity effect -510 -336
Disposal of operations, net liquidity effect 33 1
Change in financial assets   5 4
Cash flow from investing activities -520 -395
       
FINANCING ACTIVITIES    
Repurchase of treasury shares -31 -40
Exercised and issued call options 31 12
Borrowings 241 462
Repayments on loans -7 -332
Other financing -2 -2
Dividend paid to equity holders of the Parent Company -235 -218
Dividend paid to non-controlling interests -9 -8
Cash flow from financing activities -12 -126
       
Cash flow for the year 7 30
       
Cash and cash equivalents at beginning of year 178 140
Exchange differences on cash and cash equivalents 7 8
Cash and cash equivalents at year-end 192 178
       
Latest updated: 6/4/2018 10:53:25 AM by alexander.paziraei@oxp.se