Statement of cash flows

Statement of cash flows

(Amounts in thousands of euros) 

 Note20142013
Cash and cash equivalents 12 310,442 887,375
Current account facilities 14 (85,174) (82,819)
Total opening cash and cash equivalents   225,268 804,556
Operating activities      
Net profit (loss) for the year   30,693 116,486
Amortization of intangible assets 27 22,953 2,997
Depreciation of property, plant and equipment 27 77,005 16,794
Net impairment losses and provisions 27 5,292 8,942
Accrual for post-employment benefits and employee benefits 18 7,616 6,563
Net (gains) losses on the sale of assets 26 - 27 (8,424) (1,243)
Deferred taxes and national tax consolidation system 30 (18,828) 1,533
Impairment losses on equity investments 29 95,064 16,698
Dividends distributed by subsidiaries     (3,390)
Other non-monetary items   (852) (3,938)
of which: non-recurring      
Total income statement   210,519 161,442
Decrease (increase) in inventories   (99,120) 53,079
Decrease (increase) in trade receivables   (11,810) (244,708)
(Decrease) increase in progress payments and advances from customers   47,087 49,920
(Decrease) increase in trade payables   61,503 (56,132)
Decrease (increase) in other assets/liabilities   (122,059) (26,749)
of which: cash flows from related party transactions 32   (5,061)
Total operating cash flows   (124,399) (224,590)
Cash flows from (used in) operating activities   86,120 (63,148)
Investing activities      
Net investments in intangible assets   (33,233)  
Acquisition of the Cociv share     (20,009)
Investments in property, plant and equipment 1 (108,776) (2,920)
Proceeds from the sale or reimbursement value of property, plant and equipment   17,711 5,393
Investments in non-current financial assets   (178,360) (37,942)
Dividends received from subsidiaries   123,227 2,725
Proceeds from the sale or reimbursement value of non-current financial assets   1,228 44,012
Cash flows generated (used) in investing activities   (178,203) (8,741)
Financing activities      
Share capital increase   161,568  
Dividend distribution 13 (420) (602,238)
Share buy-back   (7,677)  
Increase in bank and other loans   193,838 72,911
Decrease in bank and other loans   (401,093) (88,402)
Change in other financial assets/liabilities   158,309 111,841
Merger effect   32,310  
Exchange rate losses on cash and cash equivalents and bank overdrafts   99,411 (1,509)
Cash flows generated (used) in financing activities   236,246 (507,397)
Increase (decrease) in cash and cash equivalents   144,163 (579,286)
Cash and cash equivalents 12 380,867 310,442
Current account facilities 14 (11,436) (85,172)
Total closing cash and cash equivalents   369,431 225,270