Consolidated cash flow statements - annual overview

All figures in million Euro

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 YTD 2008FY 2007FY 2006FY 2005FY 2004
Operating result6312565132-129
Current tax expense-7-53-54-106-84
Depreciation, amortization and impairment losses59148159161291
Changes in fair value of derivative financial instruments (IAS 39)1-2-374
Adjustment for other non-cash income0-2-1  
Movement in long-term provisions-38-106-9-50-11
(Gains) / losses on retirement of non-current assets-22-17-21-11-17
(Gains) / losses on divestitures0140144
Tax expense on NDT divestiture0  046
Gross cash provided by operating activities5694140133244
Decrease / (increase) in inventories-5026-58281
Decrease / (increase) in trade accounts receivable21-57-37-58
Increase / (decrease) in trade accounts payable and deferred revenue8-1738-2683
Movement in short-term provisions-16-143723-34
Movement in other working capital-15187-13-13
Movement in working capital-713-33-5159
Net cash provided from operating activities-1510810782303
Cash outflows for additions to intangible assets-6-29-28-28-12
Cash outflows for additions to property, plant and equipment-25-71-77-78-100
Cash inflows from disposals of intangible assets12001
Cash inflows from disposals of property, plant and equipment2737272755
Cash inflows from disposals of assets held for sale 194  
Cash inflows from divestitures 2130129
Cash inflows (outflows) for equity and debt instruments276762126
Cash inflows (outflows for taxes paid on previous disposals  0-42 
Cash outflows for acquisitions  0-361-122
Cash outflows for previous acquisitions -38-53  
Cash inflows from disposals of companies   3 
Interests and dividends received41162118
Net cash used in investing activities280-46-446-25
Dividend payments to stockholders -63-63-76-95
Repurchase of own shares  0-31 
Capital contributions  02 
Prefinancing AgfaPhoto in respect of previous CI divestiture-3-17-427 
Net issuances of debt-28106-39319-231
Interest paid-28-48-38-28-39
Other financial inflows / (outflows)0-121436-20
Net cash provided by / (used in) financing activities-59-34-130249-385
Change in cash due to business activities-4674-69-115-107
Change in cash due to changes in consolidation and exchange rate-6-6-16-73
Total change in cash-5268-85-122-104
(1) Consolidated figures, following IAS valuation rules / Full Year figures are audited. (Except for IAS 10 and IAS 37 in Q2 2004, as the Group decided to already fully
book the expected loss on the divestiture of Consumer Imaging in order to give immediately maximum transparency as to the effect of this important transaction)