| 
      
  | 
      04/01–  | 
      
  | 
      04/01–  | 
    
|---|---|---|---|---|
  | 
      
  | 
      
  | 
      
  | 
      
  | 
    
Operating activities  | 
      
  | 
      
  | 
      
  | 
      
  | 
    
Profit after tax  | 
      
  | 
      319.9  | 
      
  | 
      115.2  | 
    
Non-cash expenses and income  | 
      
  | 
      337.1  | 
      
  | 
      422.8  | 
    
Change in inventories  | 
      
  | 
      (134.7)  | 
      
  | 
      (146.4)  | 
    
Change in receivables and liabilities  | 
      
  | 
      (333.8)  | 
      
  | 
      (83.8)  | 
    
Change in provisions  | 
      
  | 
      (23.5)  | 
      
  | 
      (105.8)  | 
    
Changes in working capital  | 
      
  | 
      (492.0)  | 
      
  | 
      (336.0)  | 
    
Cash flows from operating activities  | 
      
  | 
      165.0  | 
      
  | 
      202.0  | 
    
  | 
      
  | 
      
  | 
      
  | 
      
  | 
    
Investing activities  | 
      
  | 
      
  | 
      
  | 
      
  | 
    
Additions to other intangible assets, property,   | 
      
  | 
      (498.0)  | 
      
  | 
      (387.0)  | 
    
Income from disposals of assets  | 
      
  | 
      5.0  | 
      
  | 
      2.1  | 
    
Cash flows from the acquisition of control of subsidiaries  | 
      
  | 
      5.9  | 
      
  | 
      0.0  | 
    
Additions to/divestments of other financial assets  | 
      
  | 
      129.7  | 
      
  | 
      (264.6)  | 
    
Cash flows from investing activities  | 
      
  | 
      (357.4)  | 
      
  | 
      (649.5)  | 
    
  | 
      
  | 
      
  | 
      
  | 
      
  | 
    
Financing activities  | 
      
  | 
      
  | 
      
  | 
      
  | 
    
Dividends paid  | 
      
  | 
      (246.8)  | 
      
  | 
      (196.3)  | 
    
Dividends paid non-controlling interests  | 
      
  | 
      (16.8)  | 
      
  | 
      (18.5)  | 
    
Acquisition of non-controlling interests  | 
      
  | 
      (1.1)  | 
      
  | 
      (3.2)  | 
    
Increase in non-current financial liabilities  | 
      
  | 
      74.0  | 
      
  | 
      555.2  | 
    
Repayment of non-current financial liabilities  | 
      
  | 
      (449.5)  | 
      
  | 
      (487.5)  | 
    
Repayment of lease liabilities  | 
      
  | 
      (2.1)  | 
      
  | 
      (34.4)  | 
    
Change in current financial liabilities and  | 
      
  | 
      397.0  | 
      
  | 
      460.8  | 
    
Cash flows from financing activities  | 
      
  | 
      (245.3)  | 
      
  | 
      276.1  | 
    
  | 
      
  | 
      
  | 
      
  | 
      
  | 
    
Net decrease/increase in cash and cash equivalents  | 
      
  | 
      (437.7)  | 
      
  | 
      (171.4)  | 
    
Cash and cash equivalents, beginning of year  | 
      
  | 
      705.8  | 
      
  | 
      485.9  | 
    
Net exchange differences  | 
      
  | 
      (4.1)  | 
      
  | 
      (2.0)  | 
    
Cash and cash equivalents, end of year  | 
      
  | 
      264.0  | 
      
  | 
      312.5  | 
    
  | 
      
  | 
      
  | 
      
  | 
      
  | 
    
In millions of euros  | 
    ||||
Consolidated statement of cash flows
Download

