Consolidated cash flow statement 2023

(in thousands of euro)

    

2023

    

2022

Cash flow from operating activities:

         

Operating result

   

4,387

    

12,513

Adjustments for:

         

- Depreciation and other value adjustments

   

28,784

    

27,388

- Changes in provisions

   

-2,174

    

4,006

- Changes in working capital:

         

. Changes in short-term receivables

 

-15,478

    

-41,726

  

. Changes in inventory

 

771

    

-957

  

. Changes short-term liabilities excluding credit institutions

 

14,067

    

6,371

  
    

-640

    

-36,312

Cash flow from company operations

   

30,357

    

7,595

Received interest

 

1,131

    

427

  

Received dividends

 

3,805

    

3,838

  

Tax paid on profits

 

-5,849

    

-10,220

  
    

-913

    

-5,955

Cash flow from operating activities

   

29,444

    

1,640

          

Cash flow from investment activities

         

Investments in (in)tangible fixed assets

 

-26,068

    

-25,184

  

Disinvestments in (in)tangible fixed assets

 

3,044

    

8,644

  

Investments in consolidated companies

 

-5,140

    

-46,076

  

Disinvestments in consolidated companies

 

11,633

    

0

  

Investments/disinvestments in non-consolidated companies

 

-108

    

6

  

Long-term loans granted

 

-1,417

    

-2

  

Repayments received on long-term receivables

 

280

    

457

  

Cash flow from investment activities

   

-17,776

    

-62,155

    

11,668

    

-60,515

Cash flow from financing activities

         

Income from long-term debts

 

505

    

179

  

Repayments on long-term debts

 

-885

    

-30,273

  

Dividends paid

 

-2,700

    

-8,768

  

Paid interest

 

-2,217

    

-2,955

  

Credit institutions movements

 

-719

    

427

  

Cash flow from financing activities

   

-6,016

    

-41,390

          

Net cash flow

   

5,652

    

-101,905

Exchange rate and conversion differences

   

2,194

    

1,709

Funds movements

   

7,846

    

-100,196

Balance of funds at the beginning of the year

   

74,621

    

174,817

Balance of funds at the end of the year

   

82,467

    

74,621

The funds balance amount attributable to third-party interests at the end of the reporting year was  €1.1 million (2022: €0.7 million).

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