| 
      
  | 
      04/01–06/30/20151  | 
      
  | 
      04/01–06/30/2016  | 
    
  | 
      
  | 
      
  | 
      
  | 
      
  | 
    
Operating activities  | 
      
  | 
      
  | 
      
  | 
      
  | 
    
Profit after tax  | 
      
  | 
      289.5  | 
      
  | 
      105.8  | 
    
Non-cash expenses and income  | 
      
  | 
      4.6  | 
      
  | 
      170.0  | 
    
Changes in working capital  | 
      
  | 
      
  | 
      
  | 
      
  | 
    
Change in inventories  | 
      
  | 
      28.8  | 
      
  | 
      24.0  | 
    
Change in receivables and liabilities  | 
      
  | 
      –142.7  | 
      
  | 
      –80.5  | 
    
Change in provisions  | 
      
  | 
      36.6  | 
      
  | 
      –3.7  | 
    
  | 
      
  | 
      –77.3  | 
      
  | 
      –60.2  | 
    
Cash flows from operating activities  | 
      
  | 
      216.8  | 
      
  | 
      215.6  | 
    
  | 
      
  | 
      
  | 
      
  | 
      
  | 
    
Investing activities  | 
      
  | 
      
  | 
      
  | 
      
  | 
    
Additions of other intangible assets, property, plant and equipment  | 
      
  | 
      –350.0  | 
      
  | 
      –296.9  | 
    
Income from disposals of assets  | 
      
  | 
      2.0  | 
      
  | 
      1.9  | 
    
Cash flows from the acquisition of control of subsidiaries  | 
      
  | 
      24.2  | 
      
  | 
      0.2  | 
    
Cash flows from the loss of control of subsidiaries  | 
      
  | 
      0.1  | 
      
  | 
      –  | 
    
Additions/divestments of other financial assets  | 
      
  | 
      –1.3  | 
      
  | 
      10.4  | 
    
Cash flows from investing activities  | 
      
  | 
      –325.0  | 
      
  | 
      –284.4  | 
    
  | 
      
  | 
      
  | 
      
  | 
      
  | 
    
Financing activities  | 
      
  | 
      
  | 
      
  | 
      
  | 
    
Dividends paid non-controlling interests  | 
      
  | 
      –33.8  | 
      
  | 
      –8.9  | 
    
Acquisition of non-controlling interests  | 
      
  | 
      –0.9  | 
      
  | 
      –1.9  | 
    
Capital increase  | 
      
  | 
      85.3  | 
      
  | 
      –  | 
    
Increase in long-term financial liabilities  | 
      
  | 
      2.3  | 
      
  | 
      2.7  | 
    
Repayment of long-term financial liabilities  | 
      
  | 
      –58.5  | 
      
  | 
      –53.2  | 
    
Repayment of long-term finance lease liabilities  | 
      
  | 
      –1.1  | 
      
  | 
      –1.3  | 
    
Change in current financial liabilities and other financial liabilities  | 
      
  | 
      –39.0  | 
      
  | 
      24.8  | 
    
Cash flows from financing activities  | 
      
  | 
      –45.7  | 
      
  | 
      –37.8  | 
    
  | 
      
  | 
      
  | 
      
  | 
      
  | 
    
Net decrease/increase in cash and cash equivalents  | 
      
  | 
      –153.9  | 
      
  | 
      –106.6  | 
    
Cash and cash equivalents, beginning of year  | 
      
  | 
      464.5  | 
      
  | 
      774.8  | 
    
Net exchange differences  | 
      
  | 
      –0.6  | 
      
  | 
      1.9  | 
    
Cash and cash equivalents, end of year  | 
      
  | 
      310.0  | 
      
  | 
      670.1  | 
    
  | 
      
  | 
      
  | 
      
  | 
      
  | 
    
  | 
      
  | 
      In millions of euros  | 
    ||
* In accordance with International Financial Reporting Standards (IFRS).
This report is a translation of the original report in German, which is solely valid.
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