Cash flow statement1
for the short financial year from 1 October 2014 to 30 September 2015
| Download XLS (28KB) |
€ million |
2013/142 |
2014/15 |
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|
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EBIT |
1,077 |
711 |
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Depreciation/amortisation/impairment losses/reversal of impairment losses of assets excl. financial investments |
1,151 |
1,465 |
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Change in provisions for pensions and other provisions |
19 |
104 |
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Change in net working capital |
3 |
−305 |
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Income taxes paid |
−383 |
−547 |
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Reclassification of gains (−) / losses (+) from the disposal of fixed assets |
−101 |
−214 |
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Other |
−12 |
381 |
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Cash flow from operating activities of continuing operations |
1,754 |
1,595 |
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Cash flow from operating activities of discontinued operations |
254 |
251 |
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Cash flow from operating activities |
2,008 |
1,846 |
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Corporate acquisitions |
0 |
−251 |
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Investments in property, plant and equipment (excl. finance leases) |
−762 |
−986 |
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Other investments |
−365 |
−619 |
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Disposals of subsidiaries |
−89 |
66 |
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Disposal of long-term assets |
522 |
389 |
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Gains (+) / losses (−) from the disposal of fixed assets |
101 |
214 |
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Cash flow from investing activities of continuing operations |
−593 |
−1,187 |
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Cash flow from investing activities of discontinued operations |
−122 |
1,972 |
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Cash flow from investing activities |
−715 |
785 |
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Dividends paid |
|
|
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to METRO AG shareholders |
0 |
−3193 |
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to other shareholders |
−86 |
−454 |
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Redemption of liabilities from put options of non-controlling interests |
−1 |
0 |
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Proceeds from long-term borrowings |
3,372 |
3,537 |
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Redemption of borrowings |
−4,255 |
−3,624 |
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Interest paid |
−406 |
−334 |
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Interest received |
47 |
59 |
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Profit and loss transfers and other financing activities |
−23 |
8 |
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Cash outflow for financing of discontinued operations |
0 |
0 |
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Cash flow from financing activities of continuing operations |
−1,352 |
−718 |
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Cash flow from financing activities of discontinued operations |
−96 |
121 |
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Cash flow from financing activities |
−1,448 |
−597 |
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Total cash flows |
−155 |
2,034 |
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Currency effects on cash and cash equivalents |
−1 |
−25 |
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Total change in cash and cash equivalents |
−156 |
2,009 |
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Cash and cash equivalents as of 1 October |
2,564 |
2,408 |
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Cash and cash equivalents shown under IFRS 5 assets |
0 |
2 |
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Cash and cash equivalents as of 1 October |
2,564 |
2,406 |
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Total cash and cash equivalents as of 30 September |
2,408 |
4,417 |
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Cash and cash equivalents shown under IFRS 5 assets |
2 |
2 |
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Cash and cash equivalents as of 30 September |
2,406 |
4,415 |
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